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No end-of-month posting is required for the total of the Other Accounts Debit column of the cash payments journal.

A) True
B) False

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The entry to record the issuance of a check in settlement of an interest-bearing promissory note of $4,000 and the interest owed on the note of $100,would be to:


A) debit Interest Expense $100,debit Notes Payable $4,000 and credit Cash $4,100.
B) debit Cash $4,100,credit Notes Payable $4,000 and credit Cash $100.
C) debit Notes Payable $4,100 and credit Cash $4,100.
D) debit Accounts Payable $4,000,debit Interest Expense $100 and credit Cash $4,100.

E) A) and D)
F) All of the above

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Indicate in which section of the Bank Reconciliation Statement the following reconciling items would appear. Indicate in which section of the Bank Reconciliation Statement the following reconciling items would appear.   A deposit in transit. A)  Option A B)  Option B C)  Option C D)  Option D A deposit in transit.


A) Option A
B) Option B
C) Option C
D) Option D

E) None of the above
F) A) and C)

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Checks issued by a firm that were paid by the bank and returned to the firm with the bank statement are called ____________________ checks.

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When a bank deducts any amount other than a paid check from a depositor's account,it issues a form called a(n)____________________ memorandum.

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Merchandise is sold for $8,820,terms 1/10,n/30.Prior to payment,the customer returned $560 of the merchandise.If the invoice is paid within the discount period the amount of the sales discount is:


A) $82.60
B) $165.20
C) $88.20
D) $93.80

E) A) and B)
F) B) and C)

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The cash payments journal for Excel Company is shown below.Describe how the amounts would be posted to the general ledger accounts. The cash payments journal for Excel Company is shown below.Describe how the amounts would be posted to the general ledger accounts.

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Dr.Accounts Payable $1,200;Dr....

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Read each of the following transactions.Determine the accounts to be debited and credited. A)Issued a check for $2,500 to Jaime Gomez,the owner,as a cash withdrawal for personal use. B)Issued a check for $75 to establish a petty cash fund. C)Issued a check for $50 to replenish the petty cash fund.An analysis of the payments from the fund showed the following totals: Supplies,$25;Delivery Expense,$10;Miscellaneous Expense,$15.

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A)Debit Jaime Gomez,Drawing;cr...

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The cash receipts journal for Arlen Company is shown below.Describe how the amounts would be posted to the general ledger accounts. The cash receipts journal for Arlen Company is shown below.Describe how the amounts would be posted to the general ledger accounts.

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Dr.Cash $8,630;Cr.Accounts Rec...

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On March 31,2016,Home Decorating Pavilion received a bank statement with an ending balance of $9,750.The balance in the firm's checkbook and Cash account on the same date was $10,290.The difference between the two balances is caused by the items listed below. On March 31,2016,Home Decorating Pavilion received a bank statement with an ending balance of $9,750.The balance in the firm's checkbook and Cash account on the same date was $10,290.The difference between the two balances is caused by the items listed below.   Instructions: 1.Prepare a bank reconciliation statement for the firm as of March 31,2016. 2.Record entries for any items on the bank reconciliation statement that must be journalized.Date the entries March 31,2016.Use page 4 of a general journal. Instructions: 1.Prepare a bank reconciliation statement for the firm as of March 31,2016. 2.Record entries for any items on the bank reconciliation statement that must be journalized.Date the entries March 31,2016.Use page 4 of a general journal.

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The Petty Cash Fund account has a(n)____________________ balance.

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Record the following transactions for the month of November 2016 on page 18 of a cash payments journal.Total,prove,and rule the cash payments journal as of November 30. Record the following transactions for the month of November 2016 on page 18 of a cash payments journal.Total,prove,and rule the cash payments journal as of November 30.    Record the following transactions for the month of November 2016 on page 18 of a cash payments journal.Total,prove,and rule the cash payments journal as of November 30.

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To transfer ownership of a check from one party to another,it is necessary to ____________________ the check.

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Purchases Discounts is a contra cost of goods sold account.

A) True
B) False

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Hawthorne Inc.uses the perpetual inventory system when recording its cash payments and cash receipts.If the company issues a check to pay for goods purchased and they pay within the discount period,identify the account used to record the discount.


A) purchases
B) purchases discounts
C) merchandise inventory
D) sales discounts

E) A) and B)
F) A) and C)

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Read each of the following transactions.Determine the accounts to be debited and credited. A)Collected cash in settlement of a $600 promissory note plus interest of $18. B)Jaime Gomez,the owner,made an additional cash investment of $11,000. C)Sold merchandise for $3,000 in cash plus sales tax of $210.There was a cash overage of $4.

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A)Debit Cash;credit Notes Rece...

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If a firm's bank reconciliation statement shows a bank statement balance of $12,000,total deposits in transit of $1,500,and total outstanding checks of $1,000,the adjusted bank balance is ____________________.

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To arrive at an accurate balance on a bank reconciliation statement,an error made by the bank in which the bank deducted a check issued by another business from the balance of the company's bank account should be


A) added to the bank statement balance.
B) added to the book balance.
C) deducted from the bank statement balance.
D) deducted from the book balance.

E) A) and B)
F) C) and D)

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Record the following transactions for the month of April 2016 on page 6 of a cash payments journal.Total,prove,and rule the cash payments journal as of April 30. Record the following transactions for the month of April 2016 on page 6 of a cash payments journal.Total,prove,and rule the cash payments journal as of April 30.    Record the following transactions for the month of April 2016 on page 6 of a cash payments journal.Total,prove,and rule the cash payments journal as of April 30.

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To record payment of sales tax owed,the accountant would debit ____________________ and credit Cash.

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