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Renton CoUses Special Journals to Record Its Transactions Record These Transactions in the Following Journals

Question 128

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Renton Co.uses special journals to record its transactions.They use the perpetual inventory system.Shown below are the purchasing and cash disbursement transactions for current month of May:
 May 1 Purchased merchandise for cash from Zillah Co. $5,400, Check No. 1133.2 Purchased office equipment from Echo Co. on credit, $7,200, terms n/60. Invoice dated  May 1. 6 Paid Fox, Inc., $4,900 cash for previous purchases on account, which is net of a $100 discount, Check No. 113410 Purchased merchandise from Inca, Inc. on credit, terms 1/15,n/30,$24,600. Invoice dated  May 8 18 Puid Echo Co. cash for May 2 purchase, Check No. 1135. \begin{array}{|l|l|l|}\hline \text { May } & 1 & \text { Purchased merchandise for cash from Zillah Co. } \$ 5,400, \text { Check No. } 1133 . \\\hline & 2 & \begin{array}{l}\text { Purchased office equipment from Echo Co. on credit, } \$ 7,200, \text { terms n/60. Invoice dated } \\\text { May 1. }\end{array} \\\hline & 6 & \begin{array}{l}\text { Paid Fox, Inc., } \$ 4,900 \text { cash for previous purchases on account, which is net of a } \$ 100 \\\text { discount, Check No. } 1134\end{array} \\\hline & 10 & \begin{array}{l}\text { Purchased merchandise from Inca, Inc. on credit, terms } 1 / 15, n / 30, \$ 24,600 . \text { Invoice dated } \\\text { May 8 }\end{array} \\\hline & 18 & \text { Puid Echo Co. cash for May 2 purchase, Check No. 1135. } \\\hline\end{array}

Record these transactions in the following journals.
 Renton Co.uses special journals to record its transactions.They use the perpetual inventory system.Shown below are the purchasing and cash disbursement transactions for current month of May:   \begin{array}{|l|l|l|} \hline \text { May } & 1 & \text { Purchased merchandise for cash from Zillah Co. } \$ 5,400, \text { Check No. } 1133 . \\ \hline & 2 & \begin{array}{l} \text { Purchased office equipment from Echo Co. on credit, } \$ 7,200, \text { terms n/60. Invoice dated } \\ \text { May 1. } \end{array} \\ \hline & 6 & \begin{array}{l} \text { Paid Fox, Inc., } \$ 4,900 \text { cash for previous purchases on account, which is net of a } \$ 100 \\ \text { discount, Check No. } 1134 \end{array} \\ \hline & 10 & \begin{array}{l} \text { Purchased merchandise from Inca, Inc. on credit, terms } 1 / 15, n / 30, \$ 24,600 . \text { Invoice dated } \\ \text { May 8 } \end{array} \\ \hline & 18 & \text { Puid Echo Co. cash for May 2 purchase, Check No. 1135. } \\ \hline \end{array}    Record these transactions in the following journals.       \begin{array}{l} \text { Cath Di.bursement Surntal }\\ \begin{array} { | l | l | l | l | l | l | l | l | l | }  \hline \text { Date } & \begin{array} { l }  \text { Ck. } \\ \text { Na. } \end{array} & \text { Payee } & \begin{array} { l }  \text { Account } \\ \text { Debited } \end{array} & \text { PR } & \begin{array} { l }  \text { Cash } \\ \mathrm { Cr } . \end{array} & \begin{array} { l }  \text { Inventory } \\ \text { Cr. } \end{array} & \begin{array} { l }  \text { Other } \\ \text { Accounts } \\ \text { Dr. } \end{array} & \begin{array} { l }  \text { Accounts } \\ \text { Payable } \\ \text { Dr. } \end{array} \\ \hline & & & & & & & & \\ \hline & & & & & & & & \\ \hline & & & & & & & & \\ \hline & & & & & & & & \\ \hline & & & & & & & & \\ \hline \end{array} \end{array}
 Cath Di.bursement Surntal  Date  Ck.  Na.  Payee  Account  Debited  PR  Cash Cr. Inventory  Cr.  Other  Accounts  Dr.  Accounts  Payable  Dr. \begin{array}{l}\text { Cath Di.bursement Surntal }\\\begin{array} { | l | l | l | l | l | l | l | l | l | } \hline \text { Date } & \begin{array} { l } \text { Ck. } \\\text { Na. }\end{array} & \text { Payee } & \begin{array} { l } \text { Account } \\\text { Debited }\end{array} & \text { PR } & \begin{array} { l } \text { Cash } \\\mathrm { Cr } .\end{array} & \begin{array} { l } \text { Inventory } \\\text { Cr. }\end{array} & \begin{array} { l } \text { Other } \\\text { Accounts } \\\text { Dr. }\end{array} & \begin{array} { l } \text { Accounts } \\\text { Payable } \\\text { Dr. }\end{array} \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline & & & & & & & & \\\hline\end{array}\end{array}

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