October 2 Cheque Copу No. 652, cash purchase of miscellaneous expense item, $232.50 plus HST of $30.23, total $262.73. 4 Purchase Invoice From Main Supply for fertilizer, $1425.30 plus HST of $185.29, total $1610.59. OP 262 Chapter 7 5 Bank Debit Memo Bank charges and loan interest for September, $825.17. 7 Cheque Copy No. 653, for wages for the week, $1225.00. (For simplicity, normal payroll deductions are not considered.) 8 Cash Receipts Cash receipts for previous week, golf $3006.00, food $735.00, plus HST of $486.33, total $4227.33. 9 Cheque Copy No. 654, to Main Supply, payment of debt owing, $1890.65. 10 Purchase Invoice From Blair's Automotive for truck repairs, $330.00 plus HST of $42.90, total $372.90. 11 Purchase Invoice From Pro Equipment for golf supplies, $264.60 plus HST of $34.40, total $299.00. 13 Cheque Copy No. 655, to the owner, for personal use, $1500.00. 14 Cheque Copy No. 656, for wages for the week, $1175.00. 15 Cash Receipts Cash receipts for previous week, golf $2880.00, food $705.00, plus HST of $466.05, total $4051.05. 15 Electronic Funds Transfer Through the online banking site, paid $5000 to reduce the principal amount of the bank loan, confirmation number 654008A. 17 Purchase Invoice From Pro Equipment for repairs to lawn mowers, $600.00 plus HST of $78.00, total $678.00. 18 Cheque Copу No. 657, to Roger's Automotive for repair to the business vehicle, $842.25 plus HST of $109.49, total $951.74. 20 Cheque Copy No. 658, to Greco Investments, for mortgage payment, mortgage interest $779.16, loan reduction $1000.00, total $1779.16. 21 Cheque Copyу No. 659, for wages for the week, $1225.00. 22 Cash Receipts Cash receipts for the previous week, golf $3300.00, food $750.22, plus HST of $526.53, total $4576.75. 23 Cheque Copy No. 660, to Pro Equipment, for partial payment of debt owing, $2000.00. 24 Purchase Invoice From Main Supply, for office supplies, $142.50 plus HST of $18.53, total $161.03. 25 Purchase Invoice From Blair's Automotive, for auto equipment repairs, $435.00 plus HST of $56.55, total $491.55. 26 Cheque Copy No. 661, for the wages for the week, $1195.00. 28 Cheque Copy No. 662, for the cash purchase of miscellaneous expense item, $127.50 plus HST of $16.58, total $144.08. OP Chapter Review 263 29 Cash Receipts Cash receipts for the previous week, golf $3015.00, food $870.45, plus HST of $505.11, total $4390.56. 30 Cheque Copy No. 663, cash payment for heat and electricity for the month, $899.52 plus HST of $116.94, total $1016.46. 31 Cheque Copy No. 664, cash payment for cellular telephone service for the month, $212.50 plus HST of $27.63, total $240.13. 31 Cheque Copy No. 665, to the owner, for personal use, $1400.00. 31 Cheque Copy No. 666, to the Receiver General, paying the net HST for Septem- ber, $787.50. B. Balance the ledger by means of a trial balance. C. Prepare an income statement for the 10 months ended October 31. D. Prepare a balance sheet for October 31. Use Figure 5.8 on page 155 as your guide.

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TRANSACTIONS
sortware.
October
2 Cheque Copy
No. 652, cash purchase of miscellaneous expense item, $232.50 plus
HST of $30.23, total $262.73.
4 Purchase Invoice
From Main Supply for fertilizer, $1425.30 plus HST of $185.29,
total $1610.59.
OP
262
Chapter 7
5 Bank Debit Memo
Bank charges and loan interest for September, $825.17.
7 Cheque Copy
No. 653, for wages for the week, $1225.00. (For simplicity, normal
payroll deductions are not considered.)
8 Cash Receipts
Cash receipts for previous week, golf $3006.00, food $735.00, plus
HST of $486.33, total $4227.33.
9 Cheque Copy
No. 654, to Main Supply, payment of debt owing, $1890.65.
10 Purchase Invoice
From Blair's Automotive for truck repairs, $330.00 plus HST of
$42.90, total $372.90.
11 Purchase Invoice
From Pro Equipment for golf supplies, $264.60 plus HST of $34.40,
total $299.00.
13 Cheque Copy
No. 655, to the owner, for personal use, $1500.00.
14 Cheque Copy
No. 656, for wages for the week, $1175.00.
15 Cash Receipts
Cash receipts for previous week, golf $2880.00, food $705.00, plus
HST of $466.05, total $4051.05.
15 Electronic Funds Transfer
Through the online banking site, paid $5000 to reduce the principal
amount of the bank loan, confirmation number 654008A.
17 Purchase Invoice
From Pro Equipment for repairs to lawn mowers, $600.00 plus HST
of $78.00, total $678.00.
18 Cheque Copy
No. 657, to Roger's Automotive for repair to the business vehicle,
$842.25 plus HST of $109.49, total $951.74.
20 Cheque Copy
No. 658, to Greco Investments, for mortgage payment, mortgage
interest $779.16, loan reduction $1000.00, total $1779.16.
21 Cheque Copy
No. 659, for wages for the week, $1225.00.
22 Cash Receipts
Cash receipts for the previous week, golf $3300.00, food $750.22,
plus HST of $526.53, total $4576.75.
23 Cheque Copy
No. 660, to Pro Equipment, for partial payment of debt owing,
$2000.00.
24 Purchase Invoice
From Main Supply, for office supplies, $142.50 plus HST of $18.53,
total $161.03.
25 Purchase Invoice
From Blair's Automotive, for auto equipment repairs, $435.00 plus
HST of $56.55, total $491.55.
26 Cheque Copy
No. 661, for the wages for the week, $1195.00.
28 Cheque Copy
No. 662, for the cash purchase of miscellaneous expense item,
$127.50 plus HST of $16.58, total $144.08.
OP
Chapter Review
263
29 Cash Receipts
Cash receipts for the previous week, golf $3015.00, food $870.45,
plus HST of $505.11, total $4390.56.
30 Cheque Copy
No. 663, cash payment for heat and electricity for the month,
$899.52 plus HST of $116.94, total $1016.46.
31 Cheque Copy
No. 664, cash payment for cellular telephone service for the month,
$212.50 plus HST of $27.63, total $240.13.
31 Cheque Copy
No. 665, to the owner, for personal use, $1400.00.
31 Cheque Copy
No. 666, to the Receiver General, paying the net HST for Septem-
ber, $787.50.
B. Balance the ledger by means of a trial balance.
C. Prepare an income statement for the 10 months ended October 31.
D. Prepare a balance sheet for October 31. Use Figure 5.8 on
page 155 as your guide.
Transcribed Image Text:TRANSACTIONS sortware. October 2 Cheque Copy No. 652, cash purchase of miscellaneous expense item, $232.50 plus HST of $30.23, total $262.73. 4 Purchase Invoice From Main Supply for fertilizer, $1425.30 plus HST of $185.29, total $1610.59. OP 262 Chapter 7 5 Bank Debit Memo Bank charges and loan interest for September, $825.17. 7 Cheque Copy No. 653, for wages for the week, $1225.00. (For simplicity, normal payroll deductions are not considered.) 8 Cash Receipts Cash receipts for previous week, golf $3006.00, food $735.00, plus HST of $486.33, total $4227.33. 9 Cheque Copy No. 654, to Main Supply, payment of debt owing, $1890.65. 10 Purchase Invoice From Blair's Automotive for truck repairs, $330.00 plus HST of $42.90, total $372.90. 11 Purchase Invoice From Pro Equipment for golf supplies, $264.60 plus HST of $34.40, total $299.00. 13 Cheque Copy No. 655, to the owner, for personal use, $1500.00. 14 Cheque Copy No. 656, for wages for the week, $1175.00. 15 Cash Receipts Cash receipts for previous week, golf $2880.00, food $705.00, plus HST of $466.05, total $4051.05. 15 Electronic Funds Transfer Through the online banking site, paid $5000 to reduce the principal amount of the bank loan, confirmation number 654008A. 17 Purchase Invoice From Pro Equipment for repairs to lawn mowers, $600.00 plus HST of $78.00, total $678.00. 18 Cheque Copy No. 657, to Roger's Automotive for repair to the business vehicle, $842.25 plus HST of $109.49, total $951.74. 20 Cheque Copy No. 658, to Greco Investments, for mortgage payment, mortgage interest $779.16, loan reduction $1000.00, total $1779.16. 21 Cheque Copy No. 659, for wages for the week, $1225.00. 22 Cash Receipts Cash receipts for the previous week, golf $3300.00, food $750.22, plus HST of $526.53, total $4576.75. 23 Cheque Copy No. 660, to Pro Equipment, for partial payment of debt owing, $2000.00. 24 Purchase Invoice From Main Supply, for office supplies, $142.50 plus HST of $18.53, total $161.03. 25 Purchase Invoice From Blair's Automotive, for auto equipment repairs, $435.00 plus HST of $56.55, total $491.55. 26 Cheque Copy No. 661, for the wages for the week, $1195.00. 28 Cheque Copy No. 662, for the cash purchase of miscellaneous expense item, $127.50 plus HST of $16.58, total $144.08. OP Chapter Review 263 29 Cash Receipts Cash receipts for the previous week, golf $3015.00, food $870.45, plus HST of $505.11, total $4390.56. 30 Cheque Copy No. 663, cash payment for heat and electricity for the month, $899.52 plus HST of $116.94, total $1016.46. 31 Cheque Copy No. 664, cash payment for cellular telephone service for the month, $212.50 plus HST of $27.63, total $240.13. 31 Cheque Copy No. 665, to the owner, for personal use, $1400.00. 31 Cheque Copy No. 666, to the Receiver General, paying the net HST for Septem- ber, $787.50. B. Balance the ledger by means of a trial balance. C. Prepare an income statement for the 10 months ended October 31. D. Prepare a balance sheet for October 31. Use Figure 5.8 on page 155 as your guide.
7. Harbour Golf Links is owned by Shirley Ngakien. She operates the par-
three golf course and driving range. The trial balance of the business on
September 30, 20– is shown on the next page. Harbour Golf Links charges
13% HST on all sales, rentals, and food items.
HARBOUR GOLF LINKS
TRIAL BALANCE
SEPTEMBER 30, 20–
No.
Accounts
Debits
Credits
101
Bank
8 75 020
10236
Supplies - Golf Course
Supplies- Office
Property
Buildings
Automotive Equipment
Maintenance Equipment
105
326525
225 11265
10
+++
115
| 28 040
+++
120
3095이
2265060
125
130
120000
25050
201
Bank Loan
++++
205
A/P – Blair's Automotive
+++-
A/P - Main Supply
A/P – Pro Equipment
HST Payable
210
189065
215
358210
Ilol6ls
220
225
HST Recoverable
27750
Mortgage Payable
Shirley Ngakien, Capital
170000
14202|기46|
230
301
Shirley Ngakien, Drawings
27 000
305
89 98250
2387575
401
Revenue - Golf
405
Revenue - Food
Automotive Expense
Bank Charges Expense
Maintenance Expense
501
894452
784225
15846 28
152575
6375-
102833
927568
45 54795
552 673 96
505
510
515
Miscellaneous Expense
Mortgage Interest Expense
Telephone Expense
Utilities Expense
520
525
530
535
Wages Expense
552673 96
A. Journalize and post the transactions below for the month of
October. Use page 28 of the journal.
Exercise 7 may also be
completed with Sage Simply
Accounting or QuickBooks
software.
TRANSACTIONS
Transcribed Image Text:7. Harbour Golf Links is owned by Shirley Ngakien. She operates the par- three golf course and driving range. The trial balance of the business on September 30, 20– is shown on the next page. Harbour Golf Links charges 13% HST on all sales, rentals, and food items. HARBOUR GOLF LINKS TRIAL BALANCE SEPTEMBER 30, 20– No. Accounts Debits Credits 101 Bank 8 75 020 10236 Supplies - Golf Course Supplies- Office Property Buildings Automotive Equipment Maintenance Equipment 105 326525 225 11265 10 +++ 115 | 28 040 +++ 120 3095이 2265060 125 130 120000 25050 201 Bank Loan ++++ 205 A/P – Blair's Automotive +++- A/P - Main Supply A/P – Pro Equipment HST Payable 210 189065 215 358210 Ilol6ls 220 225 HST Recoverable 27750 Mortgage Payable Shirley Ngakien, Capital 170000 14202|기46| 230 301 Shirley Ngakien, Drawings 27 000 305 89 98250 2387575 401 Revenue - Golf 405 Revenue - Food Automotive Expense Bank Charges Expense Maintenance Expense 501 894452 784225 15846 28 152575 6375- 102833 927568 45 54795 552 673 96 505 510 515 Miscellaneous Expense Mortgage Interest Expense Telephone Expense Utilities Expense 520 525 530 535 Wages Expense 552673 96 A. Journalize and post the transactions below for the month of October. Use page 28 of the journal. Exercise 7 may also be completed with Sage Simply Accounting or QuickBooks software. TRANSACTIONS
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