YOUR MOM
A BMW
AIDS
$$$
Bye Felicia.
100
Jones' Hardware paid $750 cash for supplies from Miner's Supply. What is the journal entry for Jones' Hardware to record this transaction?
What is Debit Supplies, $750; credit Cash, $750.
100
Digital Electronics paid $189 cash for supplies from We Deliver Supplies. What is the journal entry for Digital Electronics to record this transaction?
What is Debit Supplies, $189; credit Cash, $189.
100
When closing the Advertising Expense account, debit is:
What is Income Summary & credit Advertising Expense
100
Free Time Fishing paid $600 cash for supplies from Go Office Supply. What is the journal entry for Free Time Fishing to record this transaction?
What is Debit Supplies, $600; credit Cash, $600.
100
Taco Home paid cash for advertising, $400. What is the journal entry to record this transaction?
What is Debit Advertising Expense, $400; credit Cash, $400.
200
Tiny's Toys returned merchandise that was purchased on account to Jonah's Distributing, $150. What is the journal entry for Tiny's Toys to record this transaction?
What is Debit Accounts Payable/Jonah's Distributing, $150; Credit Purchases Returns and Allowances, $150
200
Seahawk Fastpitch Softball paid cash on account to Community Field, $295, covering Purchase Invoice No. 14. What is the journal entry for Seahawk Fastpitch Softball to record this transaction?
What is Debit Accounts Payable/ Community Field $295; credit Cash, $295.
200
On the last day of April, Jack prepared the adjusting entries for his company. He has written "Adjusting Entries" in the Account Title column and recorded April 30 in the date column. What will Jack do NEXT?
What is Write the title of the account debited in the Account Title column
200
Sluggers Sports Shop purchased merchandise for cash from Better Bats Warehouse for $850. What is the journal entry for Sluggers Sports Shop to record this transaction?
What is Debit Purchases, $850; credit Cash, $850.
200
Christina's Curtains paid cash for the telephone bill, $110. What is the journal entry to record this transaction?
What is Debit Telephone Expense, $110; credit Cash, $110.
300
. Jacob Doe Tractor purchased store supplies on account from Tractor Supply for $942. What is the journal entry for Jacob Doe Tractor to record this transaction?
What is Debit Supplies, $942; Credit Accounts Payable/Tractor Supply, $942.
300
Aquisha's Bookkeeping paid cash for the telephone bill, $134. What is the journal entry to record this transaction?
What is Debit Telephone Expense, $134; credit Cash, $134.
300
Mary is closing the income summary account. Her company had a net loss of $2,000. The correct journal entry is to debit:
What is Owner's equity, and credit Income Summary, $2,000.
300
Gill's Grills purchased store supplies on account from Sellers Warehouse for $829. What is the journal entry for Gill's Grills to record this transaction?
What is Debit Supplies, $829; Credit Accounts Payable/Sellers Warehouse, $829.
300
Starz Transport paid cash on account to Avery Aircraft, $995, covering Purchase Invoice No. 1691. What is the journal entry for Starz Transport to record this transaction?
What is Debit Accounts Payable/ Avery Aircraft $995; credit Cash, $995
400
Computer Phones, Inc. paid cash to Software Supply, $817; covering Purchase Invoice No.2254 for $860, less a 5% discount, $43.00. What is the journal entry for Computer Phones, Inc. to record this transaction?
What is Debit Accounts Payable/ Software Supply, $860; credit Purchases Discount $43 and credit Cash $817.
400
Wally's Wallets paid cash to Leather Products Supply, $437; covering Purchase Invoice No.1284 for $460, less a 5% discount, $23.00. What is the journal entry for Wally's Wallets to record this transaction?
What is Debit Accounts Payable/ Leather Products Supply, $460; credit Purchases Discount $23 and credit Cash $437.
400
In preparing adjustment entries for his company, Steve has written "Insurance Expense" in the Account Title column. What will he do NEXT?
What is Record the debit amount in the General Debit column
400
Belinda's Rare Books purchased merchandise for cash from Book Distributors for $900. What is the journal entry for Belinda's Rare Books to record this transaction?
What is Debit Purchases, $900; credit Cash, $900.
400
Impressive Signs paid cash to Peoria Paints, $513; covering Purchase Invoice No. 77 for $540, less a 5% discount, $27.00. What is the journal entry for Impressive Signs to record this transaction?
What is Debit Accounts Payable/ Peoria Paints, $540; credit Purchases Discount $27 and credit Cash $513
500
Billy Bob's B-B-Q paid cash to Pork Distributors, $418; covering Purchase Invoice No. 1921 for $440, less a 5% discount, $22.00. What is the journal entry for Billy Bob's B-B-Q to record this transaction?
What is Debit Accounts Payable/ Pork Distributors, $440; credit Purchases Discount $22 and credit Cash $418.
500
The Antique Shop purchased merchandise on account from Old Timers Supply for $128. What is the journal entry for The Antique Shop to record this transaction?
What is Debit Purchases, $128; Credit Accounts Payable/Old Timers Supply, $128.
500
James is closing the income summary account. His company had a net income of $900. The correct journal entry is to debit:
What is Income Summary, and credit Owner's Equity, $900.
500
Mike's Music paid cash to Sheet Music Supply, $294; covering Purchase Invoice No. 54 for $300, less a 2% discount, $6.00. What is the journal entry for Mike's Music to record this transaction?
What is Debit Accounts Payable/ Sheet Music Supply, $300; credit Purchases Discount $6 and credit Cash $294
500
The Fish Friends Pet Shop purchased fish (merchandise) on account from Goldfish Supply for $152. What is the journal entry for Fish Friends Pet Shop to record this transaction?
What is Debit Purchases, $152; Credit Accounts Payable/Goldfish Supply, $152.