CHAPTER 11 Modifying Accounting Systems SECTION 11.1 REVIEW QUESTIONS (page 479) 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. 13. 14. 15. 16. 17. 18. 382 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 REVIEW QUESTIONS (continued) 19. 20. 21. 22. 23. 24. SECTION 11.1 EXERCISES (page 480) Exercise 1, p. 480 Subsidiary Ledger Features and Requirements Manual System Computerized System A. Customers and vendors are removed from the general ledger. B. Copies of source documents are sent to the general ledger clerk. C. Control accounts are required. D. Totals in the subsidiary ledgers must be balanced with general ledger accounts at the end of each month. E. Two source documents affect Accounts Receivable. F. Produces a report that also indicates the age of invoices. G. The general ledger clerk and subsidiary ledger clerks work with copies of the same source document. H. Produces reports showing customer and vendor balances. I. A journal entry by a subsidiary ledger clerk automatically updates accounts in the general ledger. J. Totals in the subsidiary ledgers always balance with the general ledger control accounts. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 383
SECTION 11.1 EXERCISES (continued) Exercise 2, p. 480 A. B. C. S DEBIT CREDIT D. 384 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 2, p. 480 (continued) E. Exercise 3, p. 481 A. B. C. D. E. F. G. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 385
SECTION 11.1 EXERCISES (continued) Exercise 4, p. 481 A., B. S RECEIVABLE LEDGER Adams Bros., 12 Mountain Avenue Jun. 30 Invoice No. 480 6 7 20 Dr 6 7 20 30 Invoice No. 507 9 4 20 Dr 1 6 1 40 Cozo & Son, 620 Main Street Jun. 30 Invoice No. 512 7 5 65 Dr 7 5 65 A. G. Farmer, 120A Blackwell Court Jun. 30 Invoice No. 514 3 1 5 62 Dr 3 1 5 62 S. P. Handy Ltd., 75 Porter Road Jun. 30 Invoice No. 484 2 1 6 25 Dr 2 1 6 25 30 Invoice No. 511 2 0 0 22 Dr 4 1 6 47 386 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 4, p. 481 (continued) A., B. (continued) S RECEIVABLE LEDGER R. Mortimer, 60 Hawley Crescent Jun. 30 Invoice No. 470 5 1 6 25 Dr 5 1 6 25 30 Invoice No. 496 6 2 1 90 Dr 1 1 3 8 15 30 Invoice No. 505 6 0 8 36 Dr 1 7 4 6 51 Renforth Sales, 192 Dale Place Jun. 30 Invoice No. 510 1 3 7 62 Dr 1 3 7 62 Vista Limited, 2001 Central Ave. Jun. 30 Invoice No. 515 5 0 Dr 5 0 The Williams Company, 417 Lake Street Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 387
SECTION 11.1 EXERCISES (continued) Exercise 4, p. 483 C. Exercise 5, p. 483 A., B. S PAYABLE LEDGER Daiton Enterprises, 106 Fleet Street, Bathurst Sep. 30 Purchase Invoice No. 516 4 3 0 74 Cr 4 3 0 74 Gordon & Associates, 700 King Street, Oakville Sep. 30 Purchase Invoice No. B7407 2 1 6 92 Cr 2 1 6 92 388 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 5, p. 483 (continued) A., B. (continued) Henderson Associates, Box 65, Welland Sep. 30 30 Purchase Invoice No. 16421 Purchase Invoice No. 16907 5 0 7 6 1 5 Cr Cr 5 0 7 1 1 2 2 Kohler, R. M., 141 Nixon Avenue, Bathurst Sep. 30 Purchase Invoice No. 615 1 0 4 70 Cr 1 0 4 70 North Shore Packaging, 1500 Middle Road, Leduc Sep. 30 Purchase Invoice No. 901 7 4 87 Cr 7 4 87 Orenson & Company, 560 The Eastway, Dauphin Sep. 30 Purchase Invoice No. 1604 1 0 4 6 26 Cr 1 0 4 6 26 30 Purchase Invoice No. 1909 5 1 6 15 Cr 1 5 6 2 41 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 389
SECTION 11.1 EXERCISES (continued) Exercise 5, p. 483 (continued) A., B. (continued) Riggs, J. B., 75 Baxter Road, Enfield Sep. 30 Purchase Invoice No. 74621 5 0 2 Cr 5 0 2 Smithers, P. R., 106 Farr Street, Woodstock Sep. 30 Purchase Invoice No. 74 5 7 05 Cr 5 7 05 Union Advertising, 7900 Primeau Avenue, Markham Sep. 30 Purchase Invoice No. 16352 4 3 6 21 Cr 4 3 6 21 30 30 Purchase Invoice No. 17201 Purchase Invoice No. 17306 7 0 2 5 1 8 16 90 Cr Cr 1 1 3 8 1 6 5 7 37 27 Wrouse & Reid, 14 Kay Street, Sackfield, NB E4L 2C9 390 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 5, p. 484 (continued) C. Exercise 6, p. 484 A. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 391
SECTION 11.1 EXERCISES (continued) Exercise 6, p. 484 (continued) A. (continued) B. to D. S RECEIVABLE LEDGER Lim Crozier Elyk 300 200 150 Isola Perrier Tams 500 300 250 S PAYABLE LEDGER Ace Co. Delta Supplies Galaxy Co. 150 75 Metro Hardware Sun Inc. Pace Equipment 300 400 300 392 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 6, p. 484 (continued) B. to D. (continued) GENERAL LEDGER Bank Accounts Receivable Supplies 500 1 700 70 Equipment Automobiles Bank Loan 4 000 10 000 1000 Accounts Payable C. Chen, Capital C. Chen, Drawings 1 450 14 500 200 Revenue Advertising Expense General Expense 12 400 500 130 Utilties Expense Rent Expense Wages Expense 1 500 1 800 9 000 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 393
SECTION 11.1 EXERCISES (continued) Exercise 6, p. 484 (continued) D. (continued) GENERAL JOURNAL PAGE DATE PARTICULARS P.R. DEBIT CREDIT 394 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.1 EXERCISES (continued) Exercise 6, p. 484 (continued) D. (continued) GENERAL JOURNAL PAGE DATE PARTICULARS P.R. DEBIT CREDIT E. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 395
SECTION 11.1 EXERCISES (continued) Exercise 6, p. 484 (continued) E. (continued) S DEBIT CREDIT 396 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 REVIEW QUESTIONS (page 499) 1. 2. 3. 4. 5. 6. 7. 8. 9. 10. 11. 12. 13. 14. 15. 16. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 397
SECTION 11.2 REVIEW QUESTIONS (continued) 17. 18. 19. SECTION 11.2 EXERCISES (page 499) Exercise 1, p. 499 Indicate whether each of the following statements is true or false by entering a T or an F in the space provided. Explain the reason for each F response in the space provided. A. A non-routine transaction is one that is out of the ordinary. B. The synoptic journal is ideally suited to a large company. C. A synoptic journal is a multi-columnar journal. D. In the synoptic journal, there would be a special column for HST Payable because it is a frequently occurring item. E. The headings in a synoptic journal are always the same as those shown in the textbook. F. The main advantage of the synoptic journal is time saved in journalizing transactions. G. An advantage of the synoptic journal is that it is not necessary to balance the accounting entry for every transaction. H. It is customary to forward the totals from one page of the synoptic journal to the next. I. The total of the Other Accounts debit section is posted as a debit to the general ledger. J. A debit amount can be entered in a credit column if it is circled. K. Every entry in the synoptic journal takes only one line. Explanations for F Responses 398 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 2, p. 500 A., B. Donway Distributing Synoptic Journal DATE PARTICULARS Ref. No. Bank Accounts Receivable Dr Cr Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 399
SECTION 11.2 EXERCISES (continued) Exercise 2, p. 500 (continued) A., B. (continued) Month of: August, PAGE: 19 Accounts Payable Sales Purchases Other Accounts Dr Cr Cr Dr Account P.R. Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 400 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 2, p. 500 (continued) B. (continued) C. SYNOPTIC JOURNAL POSTING SUMMARY S DEBIT CREDIT Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 401
SECTION 11.2 EXERCISES (continued) Exercise 3, p. 502 A., B. Cash Payments Journal Sopinka Supplies Month of: April, PAGE: Purchases Wages Expense Other Accounts Accounts Payable Bank PARTICULARS DATE Cr Dr Dr Dr Account P.R. Dr Cr Ref. No. Exercise 4, p. 502 A. F. K. P. B. G. L. Q. C. H. M. R. D. I. N. E. J. O. 402 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 A., C. Crest Hardware Synoptic Journal DATE PARTICULARS Ref. No. Bank Accounts Receivable Accounts Payable Dr Cr Dr Cr Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 403
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) A., C. (continued) Month of: July, PAGE: 73 HST Sales Purchases Recoverable Payable Other Accounts Cr Dr Dr Cr Account P.R. Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 404 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) B. R. Lai S RECEIVABLE LEDGER Jun. 30 Forwarded No. 1407 Dr 2 0 7 2 15 G. Langford Jun. 30 Forwarded No. 1431 Dr 3 1 6 20 R. Potts Jun. 30 Forwarded No. 1426 Dr 2 9 7 6 90 S PAYABLE LEDGER City Hardware Supply Jun. 30 Forwarded No. 1742 Cr 2 7 4 2 10 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 405
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) B. (continued) Clix Auto Joe Jay Transport Special Steel Products Jun. 30 Forwarded No. 147 Cr 3 5 2 3 25 D. GENERAL LEDGER Bank No. 101 Jun. 30 Forwarded Dr 12 4 0 0 Accounts Receivable No. 105 Jun. 30 Forwarded Dr 5 3 6 5 25 406 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) D. (continued) Merchandise Inventory No. 110 Jun. 30 Forwarded Dr 46 0 9 0 20 Supplies No. 115 Jun. 30 Forwarded Dr 1 3 9 5 Store Equipment No. 120 Jun. 30 Forwarded Dr 40 9 0 6 Accumulated Depreciation Store Equipment No. 121 Jun. 30 Forwarded Cr 14 7 2 6 Delivery Equipment No. 130 Jun. 30 Forwarded Dr 39 5 0 0 Accumulated Depreciation Delivery Equipment No. 131 Jun. 30 Forwarded Cr 20 1 4 5 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 407
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) D. (continued) Accounts Payable No. 201 Jun. 30 Forwarded Cr 6 2 6 5 35 HST Payable No. 205 Jun. 30 Forwarded Cr 1 2 4 0 25 HST Recoverable No. 207 Jun. 30 Forwarded Dr 5 0 0 75 Loan Payable Federal Finance No. 210 Jun. 30 Forwarded Cr 8 5 0 0 85 F. Dunn, Capital No. 301 Jun. 30 Forwarded Cr 87 4 5 2 58 408 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) D. (continued) F. Dunn, Drawings No. 302 Jun. 30 Forwarded Dr 6 0 0 0 Sales No. 401 Jun. 30 Forwarded Cr 53 7 1 4 50 Delivery Expense No. 505 Jun. 30 Forwarded Dr 5 2 5 8 Freight-in No. 510 Jun. 30 Forwarded Dr 9 5 6 23 General Expense No. 515 Jun. 30 Forwarded Dr 2 9 5 3 10 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 409
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) D. (continued) Purchases No. 520 Jun. 30 Forwarded Dr 14 1 2 0 Rent Expense No. 525 Jun. 30 Forwarded Dr 2 4 0 0 Wages Expense No. 530 Jun. 30 Forwarded Dr 14 2 5 0 410 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) E. S DEBIT CREDIT Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 411
SECTION 11.2 EXERCISES (continued) Exercise 5, p. 503 (continued) F. 412 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.3 REVIEW QUESTIONS (page 508) 1. 2. 3. A. B. C. D. E. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 413
SECTION 11.3 EXERCISES (page 509) Exercise 1, p. 509 A. to D. Cash Receipts Journal PAGE: 1 Other Accounts Special Revenue Government Grant Rent Revenue Bank EXPLANATION DATE Dr Cr Cr Cr Account P.R. Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 414 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) A. to D. (continued) Cash Payments Journal PAGE: 1 Land Other Accounts Special Assess. Rent Expense Bank EXPLANATION DATE Cr Dr Dr Dr Account P.R. Dr Cr 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 415
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) B., C. Cash Proof Bank Debits (cash receipts journal) Less: Bank Credits (cash payments journal) Cash per Journals Less: Cash Count Cash Short or Over D. Bank ASSETS No. 1010 Land No. 1510 Houses No. 1 550 416 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) D. (continued) Railroads No. 1650 Utilities No. 1700 Mortgage Payable LIABILITIES No. 2550 PARTNERS EQUITY N. Wang, Capital No. 3010 L. Rivera, Capital No. 3050 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 417
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) D. (continued) Government Grant No. 3100 Rent Revenue REVENUE No. 4010 Gain on Trade No. 4050 Special Revenue No. 4010 Travel Revenue No. 4150 Utilities Revenue No. 4020 418 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) D. (continued) Cash Short and Over EXPENSES No. 5010 Income Tax Expense No. 5050 Jail Expense No. 5100 Loss on Sale No. 5160 Loss on Trade No. 5170 Mortgage Interest No. 5250 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 419
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) D. (continued) Rent Expense No. 5300 Special Assessments No. 5350 Travel Expense No. 5400 Utilities Expense No. 5450 420 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.3 EXERCISES (continued) Exercise 1, p. 509 (continued) D. (continued) S DEBIT CREDIT Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 421
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE 422 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE (continued) Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 423
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE (continued) 424 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 425
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE (continued) 426 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE (continued) Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 427
SECTION 11.4 WITH STRINGS ATTACHED EXERCISE (continued) 428 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES Using Your Knowledge Exercise 1, p. 527 A. 1. 2. 3. 4. 5. 6. 7. Total Net Corrections Changes to control account figure Changes to subsidiary ledger figure B. Exercise 2, p. 527 In the Subsidiary Ledger In the General Ledger The accounting entry will be Source Document purchase invoice cash receipt on account sales invoice cheque copy on account Which subsidiary ledger is affected? Will the account be increased (I) or decreased (D)? Will the account be debited or credited? Bank Accounts Receivable Accounts Payable Asset or Expense Revenue A/R A/P I D Dr Cr Dr Cr Dr Cr Dr Cr Dr Cr Dr Cr Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 429
CHAPTER 11 REVIEW EXERCISES (continued) Comprehensive Exercises Exercise 3, p. 528 A., F. Bank GENERAL LEDGER No.101 Mar. 31 Forwarded Dr 1 7 4 8 20 Accounts Receivable No.105 Mar. 31 Forwarded Dr 7 2 2 0 Supplies No.110 Mar. 31 Forwarded Dr 2 7 5 0 430 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) A., F. (continued) Office Equipment No. 115 Mar. 31 Forwarded Dr 20 8 0 0 Accumulated Depreciation Office Equipment No. 116 Mar. 31 Forwarded Cr 2 4 0 0 Automobile No. 120 Mar. 31 Forwarded Dr 29 5 0 0 Accumulated Depreciation Automobile No. 121 Mar. 31 Forwarded Cr 4 8 0 0 Accounts Payable No. 205 Mar. 31 Forwarded Cr 6 2 6 4 70 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 431
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) A., F. (continued) HST Payable No. 206 Mar. 31 Forwarded Cr 2 3 2 70 HST Recoverable No. 207 Mar. 31 Forwarded Dr 1 4 9 70 R. Bragg, Capital No. 301 Mar. 31 Forwarded Cr 47 3 7 4 15 R. Bragg, Drawings No. 302 Mar. 31 Forwarded Dr 12 0 0 0 432 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) A., F. (continued) Fees Income No. 401 Mar. 31 Forwarded Cr 31 6 5 0 Car Expense No. 505 Mar. 31 Forwarded Dr 3 2 9 5 60 Miscellaneous Expense No. 515 Mar. 31 Forwarded Dr 3 7 5 40 Rent Expense No. 520 Mar. 31 Forwarded Dr 3 0 0 0 Telephone Expense No. 525 Mar. 31 Forwarded Dr 5 1 6 15 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 433
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) A., F. (continued) Utilities Expense No. 510 Mar. 31 Forwarded Dr 9 5 0 20 Wages Expense No. 530 Mar. 31 Forwarded Dr 10 4 1 6 50 B., D. S RECEIVABLE LEDGER Blue Cab Company, 16 Fox Street Mar. 31 Forwarded No. 74 Dr 1 9 2 0 Champion Store, 175 Main Street Mar. 31 Forwarded No. 75 Dr 7 5 0 Oasis Restaurant, 325 Second Street Mar. 31 Forwarded No. 74 Dr 1 5 5 0 434 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) B., D. (continued) Village Restaurant, 400 Main Street Mar. 31 Forwarded No. 77 Dr 3 0 0 0 C., D. S PAYABLE LEDGER M. Ball, Consultant, 430 Red Road, Bigtown Mar. 31 Forwarded Cr 1 5 1 5 R. & R. Supply, 151 King Street Mar. 31 Forwarded Cr 2 7 4 0 Stirling Company, 46 River Road Mar. 31 Forwarded Cr 7 5 9 50 Tom s Garage, 705 Victoria Street Mar. 31 Forwarded Cr 1 2 5 0 20 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 435
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) E. GENERAL JOURNAL PAGE 76 DATE PARTICULARS P.R. DEBIT CREDIT 436 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) E. (continued) GENERAL JOURNAL PAGE 77 DATE PARTICULARS P.R. DEBIT CREDIT Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 437
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) F. S DEBIT CREDIT 438 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 3, p. 528 (continued) G. H. Exercise 4, p. 530 A. B. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 439
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 A. C. Bruk S RECEIVABLE LEDGER Dec. 31 Forwarded No. 325 Dr 3 6 3 40 M. Howard Dec. 31 Forwarded No. 296 Dr 3 5 5 9 25 J. Joss Dec. 31 Forwarded No. 306 Dr 1 0 4 8 80 S. Persaud Dec. 31 Forwarded No. 217 Dr 1 5 5 25 D. Wilkins Dec. 31 Forwarded No. 331 Dr 3 1 0 5 440 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) A. (continued) S PAYABLE LEDGER Smith s Service Station Stirling Company Dec. 31 Forwarded No. 245 Cr 4 8 1 5 Triangle Electric Dec. 31 Forwarded No. 4701 Cr 4 2 8 0 Universal Vacuums Dec. 31 Forwarded No. 6508 Cr 1 0 7 0 Western Electric Dec. 31 Forwarded No. 246 Cr 2 1 9 3 50 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 441
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) B., C. Cash Receipts Journal Month of: January, PAGE: 61 Sales HST Payable Other Accounts Accounts Receivable Bank PARTICULARS DATE Dr Cr Cr Cr Account P.R. Dr Cr Ref. No. Sales Journal Month of: January, PAGE: 82 Sales HST Payable Sales Rtr/Allow Other Accounts Accounts Receivable PARTICULARS DATE Dr Cr Cr Dr Account P.R. Dr Cr Purchases Journal Month of: January, PAGE: 74 Ref. No. Supplies HST Recoverable Other Accounts Purchases Accounts Payable PARTICULARS DATE Cr Dr Dr Dr Account P.R. Dr Cr Ref. No. 442 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued B., C. (continued) Cash Payments Journal Month of: January, PAGE: 177 Purchases Other Accounts Wages Expense HST Recoverable Accounts Payable Bank PARTICULARS DATE Cr Dr Dr Dr Dr Account P.R. Dr Cr Ref. No. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 443
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) C. (continued) GENERAL JOURNAL PAGE 29 DATE PARTICULARS P.R. DEBIT CREDIT SAK-11-30-pt1 GENERAL LEDGER Bank No. 105 Dec. 31 Forwarded Dr 16 2 2 5 85 Accounts Receivable No. 110 Dec. 30 Forwarded Dr 8 2 3 1 70 Supplies No. 115 Dec. 31 Forwarded Dr 3 1 2 50 Merchandise Inventory No. 120 Dec. 31 Forwarded Dr 37 4 1 6 40 444 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) C. (continued) Equipment No. 125 Dec. 31 Forwarded Dr 26 8 0 0 Accumulated Depreciation Equipment No. 126 Dec. 31 Forwarded Cr 12 4 0 0 Truck No. 130 Dec. 31 Forwarded Dr 22 2 0 0 Accumulated Depreciation Truck No. 131 Dec. 31 Forwarded Cr 8 4 0 0 Accounts Payable No. 205 Dec. 30 Forwarded Cr 12 3 5 8 50 Bank Loan No. 210 Dec. 31 Forwarded Dr 18 0 0 0 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 445
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) C. (continued) HST Payable No. 220 Dec. 31 Forwarded Cr 6 7 5 HST Recoverable No. 225 Dec. 31 Forwarded Dr 2 1 0 S. Scales, Capital No. 305 Dec. 31 Forwarded Cr 59 5 6 2 95 S. Scales, Drawings No. 310 Sales No. 405 446 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) C. (continued) Purchases No. 505 Delivery Expense No. 510 General Expense No. 515 Rent Expense No. 520 Telephone Expense No. 525 Wages Expense No. 530 Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 447
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) D. S DEBIT CREDIT 448 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Exercise 5, p. 530 (continued) E. Questions for Further Thought, p. 533 1. 2. 3. 4. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 449
CHAPTER 11 REVIEW EXERCISES (continued) Questions for Further Thought, p. 533 (continued) 5. 6. 7. 8. 9. 10. 11. 12. 13. 14. 15. 450 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CHAPTER 11 REVIEW EXERCISES (continued) Cases for Further Thought, p. 534 1. 2. 3. 4. 5. CASE STUDIES (page 535) Case 1 Gaining Control over Accounts Receivable (p. 535) 1. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 451
CASE STUDIES (continued) Case 1 Gaining Control over Accounts Receivable (p. 535) (continued) 2. Case 2 Looking After Number One: Good or Bad? (p. 536) 1. 2. 3. Case 3 A Personalized Synoptic Journal? (p. 536) 1. 2. 452 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.
CASE STUDIES (continued) Case 4: Challenge No Journal!, (p. 537) 1. 2. 3. 4. 5. 6. CAREER Roberta Lei, LLB Legal Counsel/Australia and New Zealand Banking Group Limited (ANZ), Hong Kong (page 539) Discussion (p. 540) 1. 2. 3. 4. Copyright 2013 Pearson Canada Inc. Chapter 11 Modifying Accounting Systems 453
CAREER Roberta Lei, LLB Legal Counsel/Australia and New Zealand Banking Group Limited (ANZ), Hong Kong (continued) Discussion (continued) 5. 6. 7. 8. Research and Writing Questions (p. 540) 9. 454 Accounting 1 Student Workbook Copyright 2013 Pearson Canada Inc.