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Unit 3, Activity 2 Assignment

Journalize the following transactions in the journal page below. Add


explanations for the transactions and leave a space between each.
2015
May
3 Paid the rent for May, $1500. by cheque # 85
4 Received $340 from Southco on account. Hint – if you are receiving money is this A/R or A/P?
7 Completed a consulting service for P. Plum on account, $550
8 Paid $65 to Erin Repair on account
9 The owner, Tabatha Lin, withdrew $375 cash for personal use.
13 Paid $43 for the phone bill by cheque #86
18 Got the company van repaired on account with Erin Repair, $282
23 Received $550 from P. Plum on account.
27 Completed a consulting service for G. Dekker, $768, paid by cheque.
30 Paid wages of $600, paid by cheque #87

Date Particulars P.R. Debit Credit


2015
May 3

8
9
13
18
23
27
30
- -
Chart of Accounts
105 Bank
110 A/R - Southco
125 Equipment
205 A/P - P. Plum
210 A/P - Erin Repair
305 T. Lin, Capital
310 T. Lin, Drawings
405 Revenue
505 Rent Expense
510 Telephone Expense
515 Vehicle Repair Expense
520 Wages Expense

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