AC201 6 exam

AC201 6 exam - Purchases Journal Date Account Terms Echo Co...

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Purchases Journal Date Account Date of Invoic e Terms PR Account s Payable Cr. Inventor y Dr. Office Supplies Dr. Other Account s Dr. May 2 Echo Co. 5/1 n/60 200 200 9 Inca Co. 5/8 1/15, n/30 24,600 24,600 1 8 Howe Inc. 5/17 Net EOM 230 230 Totals 25,030 24,800 230 Cash Disbursements Journal Date Ck. No. Payee Account Debited PR Cash Cr. Inventor y Cr. Other Account s Dr. Account s Payable May 1 1133 Zillah Co. Inventory 5,400 5,400 6 1134 Fox Inc. Fox Inc. 4,900 100 5,000 1 0 1135 Echo Co. Echo Co. 7,200 7,200 Totals 17,500 100 5,400 12,200 Brown Company Bank reconciliation September 30, 2009 Bank statement Balance…… 1,350 Book Balance………. .. 995.00 Add Add Deposit in transit……………… 1,250 Collect $900 note less $25 fee… 875.00 875.00 2,600 1,870 Deduct Deduct Outstanding check…………… 1,145 NSF Check plus processing fee… 125.00 Cancelled Check ……………………. . 275.00 Debit memorandum………………. 15.00 415.00
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Adjusted Bank Balance……. 1,455
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AC201 6 exam - Purchases Journal Date Account Terms Echo Co...

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