I need to know how to input these questions into a general journal and general ledger. The beginning balance on the ledger under 'A/P - Canola Products' is 60,000.
May 3
Received a credit memorandum from Canola Products for merchandise received on April 29 and that we returned for credit this morning.
The amount of the return was:
$1,000.00
May 8
Issued cheque #3412 to Canola Products to pay for the merchandise received on April 29 (terms of the purchase had been 2/10 n/30).
May 30
Issued cheque # 3416, payable to Al's Delivery Services for the following transaction:
- shipping cost for incoming merchandise
$450.00
Thanks!
Already registered? Login
Not Account? Sign up
Enter your email address to reset your password
Back to Login? Click here