The balance sheet accounts of Red Lake Appliance Company had the following balances on December 31,20X1:
Account Title | Balance | |
Debit | Credit | |
Cash | $41,000 | |
Accounts receivable | 29,000 | |
Merchandise inventory | 120,000 | |
Accounts payable | $35,000 | |
Notes payable | 81,000 | |
Paid-in capital | 43,000 | |
Retained earnings Sales Cost of Goods Sold Selling Expense Rent Expense Interest Expense | 31,000 | |
Total | $190,000 | $190,000 |
a. Collected $24,000 on accounts receivable.收集了 应收账款
b. Sold appliances for $60,000 cash and $45,000 on open account.[赊账给别人了]卖电器?开账户
c. Cost of appliances sold was $50,000.销售成本
d. Paid $19,000 on accounts payable.付出 应付账款
e. Replenished inventory for $,000 on open account.补充库存?,未结清的账户,赊账
f. Paid selling expense in cash, $33,000.销售支出现金形式
g. Paid rent expense in cash, $7,000.租金 现金形式
h. Paid interest expense in cash, $1,000.利息费用 现金
a 24000
24000
b 60000
45000
105000
c 50000
50000
d 19000
19000
e 000
000
f 33000
33000
g 7000
7000
h 1000
1000
Required
1.Open the appropriate[恰当的] T-accounts[丁字账] in the general ledger[总分类账]. In addition to the seven accounts listed in the trial balance[试算表] of December 31, open accounts for Sales, Cost of Goods Sold, Selling Expense, Rent Expense, and Interest Expense. Enter the December 31 balances in the accounts.开T-账户,总分类帐。除了七个账户试算表中列出的12月31日开放销售,占销货成本、销售费用、租金费用和利息费用。进入12月31日余额的账户。
2.Journalize transactions[编制会计分录] a through h. Post the entries to the ledger, keying by transaction letter.写入日记事务通过h。文章条目分类帐,键控的事务信函。
3.Prepare a trial balance for the month ended January 31,20X2.准备一个试算表截至1月31日,本月20 x2。