Tag (SQ): Double Entry

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FA – L1 – Q14 – Sales and Purchases

Prepare sales and purchase day book extracts for Green Haven Garden Traders' May 20X9 transactions.

The following transactions in May 20X9 are those of a new business entity, Green Haven Garden Traders.

May 20X9

Date Transaction
1 Set up the entity with capital in cash: GH₵2,500,000.
2 Bought goods on credit from the following suppliers: Bushwood Suppliers GH₵540,000, Blossom Town GH₵870,000, D. Grayson GH₵250,000, Weedstop GH₵760,000, T. Verdant GH₵640,000. (Total: GH₵3,060,000).
4 Sold goods on credit to: Office Works GH₵430,000, V. Carson GH₵640,000, Southern Retail GH₵1,760,000. (Total: GH₵2,830,000).
6 Paid rent GH₵120,000.
9 Office Works paid the GH₵430,000 that it owed.
10 Southern Retail paid GH₵1,500,000.
12 The following payments were made: to D. Grayson GH₵250,000 and to Bushwood Suppliers GH₵540,000. (Total: GH₵790,000).
15 Advertising costs of GH₵230,000 were paid to the local newspaper publisher.
18 Bought goods on credit from the following suppliers: Bushwood Suppliers GH₵430,000, Landview GH₵1,100,000. (Total: GH₵1,530,000).
21 Sold goods on credit to Community Greens GH₵670,000.
31 Paid rent GH₵180,000.

Required
(a) Prepare extracts of the sales day book and purchase day book for the relevant transactions above.

(b) Use T accounts to show how these transactions should be recorded in the main ledger accounts of the entity. The accounting system contains a receivables ledger and a payables ledger for individual accounts, and there are control accounts (Total: accounts) for receivables and payables in the main ledger.

(c) Post the transactions to individuals’ accounts in the receivables ledger and the payables ledger and extract a list of balances from these. (The total of each list should agree with the balance on the receivables control account and payables control account respectively).

(d) Prepare a trial balance as at 31 May 20X9.

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FA – L1 – Q12 – Double entry bookkeeping

Record Leah's March 20X9 transactions in main ledger T accounts and prepare a trial balance as at 31 March 20X9.

Enter the following transactions in the main ledger accounts of Leah, and extract a trial balance as at 31 March 20X9.
Assume that all receipts and payments are by cheque unless told otherwise.

March 20X9

Date Transaction
1 Started business with GH₵80,000 in the bank
2 Bought goods on credit from: K&H Supplies GH₵7,600; Hatton Traders GH₵2,700; Tobias Traders GH₵5,600
5 Cash sales GH₵8,700. The cash was kept in a safe in Leah’s office.
6 Paid wages GH₵1,400 by cheque.
7 Sold goods on credit to: Elliott Enterprises GH₵3,500; L. Lang GH₵4,200; Carter Leisure GH₵7,200
9 Bought goods for cash GH₵4,600 using cash from Leah’s safe.
10 Bought goods on credit from: K&H Supplies GH₵5,700; Tobias Traders GH₵9,800
12 Paid wages GH₵1,400 by cheque.
13 Sold goods on credit to: L. Lang GH₵3,200; Carter Leisure GH₵2,300
15 Bought shop fixtures on credit from Betta Fittings GH₵5,000
17 Paid K&H Supplies GH₵8,400
18 Goods returned to Tobias Traders GH₵2,000
21 Paid Betta Fittings GH₵5,000
24 Payment received from Carter Leisure GH₵9,500
27 Goods returned to K&H Supplies GH₵2,400
30 Royal Bank provides a loan of GH₵6,000
31 Bought a motor van, paying by cheque GH₵40,000

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