2-May The business purchased office equipment for $5,000 by cheque The business purchased motor vehicles on credit from AA Motors for 4-May S8,000 5-May Purchased stock of goods on credit from Jackod Ltd. for $2,000 6-May Purchased stock of goods paying by cheque for $3,000 10-May Sold goods for $4,000 receiving the money by cheque

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter1: Asset, Liability, Owner’s Equity, Revenue, And Expense Accounts
Section: Chapter Questions
Problem 4PB: In March, T. Carter established Carter Delivery Service. The account headings are presented below....
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2.2 Write down the following transaction in the books of
Hospitality Events Ltd. for the month of May
completed, balance the accounts and prepare the trial balance
Once area you
want to
1-May Owner put $25,000 into a business bank account
2-May The business purchased office equipment for S5,000 by cheque
The business purchased motor vehicles on credit from AA Motors for
4-May S8,000
5-May Purchased stock of goods on credit from Jackod Ltd. for $2,000
6-May Purchased stock of goods paying by cheque for $3,000
10-May Sold goods for $4,000 receiving the money by cheque
15-May Paid rent by cheque S1,000
16-May Paid stationary bill by cheque $400
16-May Paid advertising by cheque $520
18-May Returned some of the goods purchased on credit from Jackod for $500
20-May Owner took $300 out of the bank for his own use
22-May Paid the balance owed to Jackod Ltd. by cheque
23-May Paid wages by check $800
25-May Sublet part of the premises receiving rent by cheque $280
26-May Paid for travel and motor expenses $200 by check
27-May Owner took stock to the value of $100 for his own use
29-May Sold goods on credit to G. Dunne $350
30-May Paid AA Motors Ltd the amount outstanding by cheque
Transcribed Image Text:2.2 Write down the following transaction in the books of Hospitality Events Ltd. for the month of May completed, balance the accounts and prepare the trial balance Once area you want to 1-May Owner put $25,000 into a business bank account 2-May The business purchased office equipment for S5,000 by cheque The business purchased motor vehicles on credit from AA Motors for 4-May S8,000 5-May Purchased stock of goods on credit from Jackod Ltd. for $2,000 6-May Purchased stock of goods paying by cheque for $3,000 10-May Sold goods for $4,000 receiving the money by cheque 15-May Paid rent by cheque S1,000 16-May Paid stationary bill by cheque $400 16-May Paid advertising by cheque $520 18-May Returned some of the goods purchased on credit from Jackod for $500 20-May Owner took $300 out of the bank for his own use 22-May Paid the balance owed to Jackod Ltd. by cheque 23-May Paid wages by check $800 25-May Sublet part of the premises receiving rent by cheque $280 26-May Paid for travel and motor expenses $200 by check 27-May Owner took stock to the value of $100 for his own use 29-May Sold goods on credit to G. Dunne $350 30-May Paid AA Motors Ltd the amount outstanding by cheque
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