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An NSF check from a customer.


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

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

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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; credit Cash B) Debit Petty Cash Fund; credit Cash C) Debit Supplies, Delivery Expense, and Miscellaneous Expense; credit Cash

A firm's bank reconciliation statement shows a book balance of $31,640, an NSF check of $800, and a service charge of $40. Its adjusted book balance is


A) $32,480.
B) $30,800.
C) $30,880.
D) $32,400.

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

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A strong system of internal control requires that all payments be made by check except those made from a carefully controlled cash fund such as a petty cash fund.

A) True
B) False

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Record the following transactions for the month of June 2013 on page 6 of a cash payments journal. Total, prove, and rule the cash payments journal as of June 30. Record the following transactions for the month of June 2013 on page 6 of a cash payments journal. Total, prove, and rule the cash payments journal as of June 30.    Record the following transactions for the month of June 2013 on page 6 of a cash payments journal. Total, prove, and rule the cash payments journal as of June 30.

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The monthly bank statement should be received and reconciled by the employee who deposits cash receipts and writes the checks.

A) True
B) False

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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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endorse

The individual amounts in the Sales Credit column of the cash receipts journal are posted to the accounts receivable subsidiary ledger.

A) True
B) False

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Upon collection of the amount due on an interest-bearing promissory note from a customer, the accountant would debit Cash, credit Notes Receivable, and


A) debit Interest Expense.
B) credit Interest Income.
C) credit Interest Expense.
D) debit Interest Income.

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

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

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Cr. Accounts Receivable - A. Nord $350; Cr. Accounts Receivable - G. Rush $800;

A check written by Bosley Co. for $168 was mistakenly recorded in the company records as $186.


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

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

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Record the following transactions for the month of November 2013 on page 8 of a cash receipts journal. Total, prove, and rule the cash receipts journal as of November 30. Record the following transactions for the month of November 2013 on page 8 of a cash receipts journal. Total, prove, and rule the cash receipts journal as of November 30.    Record the following transactions for the month of November 2013 on page 8 of a cash receipts journal. Total, prove, and rule the cash receipts journal as of November 30.

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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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A(n) ____________________ is a form received from the bank showing all transactions recorded in the depositor's account during the month.

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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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A firm's bank reconciliation statement shows a book balance of $15,820, an NSF check of $400, and a service charge of $20. Its adjusted book balance is


A) $16,240.
B) $15,400.
C) $15,440.
D) $16,200.

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

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The most appropriate form of endorsement of a check for business purposes is


A) the blank endorsement.
B) the restrictive endorsement.
C) the full endorsement.
D) no endorsement.

E) All of the above
F) B) and C)

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The entry to record an additional cash investment by the owner is recorded in


A) the cash payments journal.
B) the cash receipts journal.
C) the general journal.
D) the purchases journal.

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

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

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Cr. Accounts Receiva...

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The entry in a firm's accounting records for a credit customer's check that was returned by the bank marked "NSF" would include


A) a debit to Miscellaneous Expense and a credit to Cash.
B) a debit to Accounts Receivable and a credit to Accounts Payable.
C) a debit to Accounts Receivable and a credit to Cash.
D) a debit to Cash and a credit to Accounts Receivable.

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

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