Week three assignment intermediate i

 

Week Three Assignment Intermediate I

 

P7-10 Miscellaneous receivable transactions

 

Evergreen Company sells lawn and garden products to wholesalers.  The company’s fiscal year-end is December 31.  During 2011, the following transactions related to receivables occurred:

 

Feb. 28   Sold merchandise to Lennox, Inc. for 10,000 and accepted a 10%, 7-month note.  10% is an appropriate rate for this type of note.

 

Mar. 31   Sold merchandise to Maddox Co. and accepted a noninterest-bearing note with a discount rate of 10%.  The 8,000 payment is due on March 31,2012.

 

Apr. 3    Sold merchandise to Carr Co. for 7,000 with terms 2/10, n/30.  Evergreen uses the gross method to account for cash discounts.

 

       11     Collected the entire amount due from Carr Co.

 

       17     A customer returned merchandise costing 3,200.  Evergreen reduced the customer’s           receivable balance by 5,000, the sales price of the merchandise.  Sales returns are recorded by the company as they occur.

 

       30     Transferred receivables of 50,000 to a factor without recourse.  The factor charged Evergreen a 1% finance charge on the receivables transferred.  The sale criteria are met.

 

June 30   Discounted the Lennox, Inc. note at the bank.  The bank’s discount rate is 12%.  The note was discounted without recourse.

 

Aug. 31   Lennox, Inc. paid the note amount plus interest to the bank.

 

Required:

 

1.      1. Prepare the necessary journal entries for Evergreen for each of the above dates.  The transaction involving the sale of merchandise, ignore the entry for the cost of goods sold (round all calculations to the nearest dollars).

 

2.      2. Prepare any necessary adjusting entries at December 31, 2011.  Adjusting entries are only recorded at year-end (round all calculations to the nearest dollar).

 

3.      3. Prepare a schedule showing the effect of the journal entries in requirements 1 and 2 on 2011 income before taxes.

 

 

 

P 7-14 Bank Reconciliation and adjusting entries

 

El Gato Painting Company maintains a checking account at American Bank.  Bank statements are prepared at the end of each month.  The November 30, 2011, reconciliation of the bank balance is as follows:

 

Balance per bank, November 30

 

Add: Deposits outstanding                                                                          3,231

 

Less: Checks outstanding                                                                            1,200   

 

#363                                                                 123

 

#365                                                                 201

 

#380                                                                   56                                                           

 

#381                                                                   86

 

#382                                                                  340 

 

Adjusted balance per bank, November 30                                                     (806)

 

                                                                                                                   3,625

 

The company’s general ledger checking account showed the following for December:                                

 

                                  Balance, December 1                                                  3,625

 

                                  Receipts                                                                     42,650

 

                                  Disbursements                                                          (41,853)    

 

                                  Balance, December 31                                                 4,422

 

The December bank statement contained the following information:

 

                            Balance, December 1                                                      3,231   

 

                            Deposits                                                                         43,000

 

                            Checks processed                                                         (41,918) 

 

                            Service charges                                                                   (22)

 

                            NSF checks                                                                        (440)                                  

 

                            Balance, December 31                                                      3,851

 

The checks that were processed by the bank in December include all of the outstanding checks at the end of November except for check #365.  In addition, there are some December checks that had not been processed by the bank by the end of the month.  Also, you discover that check #411 for $320.00 was correctly recorded by the bank but was incorrectly recorded on the books as a $230 disbursement for advertising expense.  Included in the bank’s deposit is a $1,300 deposit incorrectly credited to the company’s account.  The deposit should have been posted to the credit of the Los Gatos Company.  The NSF checks have no ben redeposited and the company will seek payment from the customers involved.   

 

Required:

 

1.      1. Prepare a bank reconciliation for the El Gato checking account at December 31, 2011.

 

2.      2. Prepare any necessary adjusting journal entries indicated.

 

                                   

 

 

 

Punctual Essays
Calculate your paper price
Pages (550 words)
Approximate price: -

Why Work with Us

Top Quality and Well-Researched Papers

We always make sure that writers follow all your instructions precisely. You can choose your academic level: high school, college/university or professional, and we will assign a writer who has a respective degree.

Professional and Experienced Academic Writers

We have a team of professional writers with experience in academic and business writing. Many are native speakers and able to perform any task for which you need help.

Free Unlimited Revisions

If you think we missed something, send your order for a free revision. You have 10 days to submit the order for review after you have received the final document. You can do this yourself after logging into your personal account or by contacting our support.

Prompt Delivery and 100% Money-Back-Guarantee

All papers are always delivered on time. In case we need more time to master your paper, we may contact you regarding the deadline extension. In case you cannot provide us with more time, a 100% refund is guaranteed.

Original & Confidential

We use several writing tools checks to ensure that all documents you receive are free from plagiarism. Our editors carefully review all quotations in the text. We also promise maximum confidentiality in all of our services.

24/7 Customer Support

Our support agents are available 24 hours a day 7 days a week and committed to providing you with the best customer experience. Get in touch whenever you need any assistance.

Try it now!

Calculate the price of your order

Total price:
$0.00

How it works?

Follow these simple steps to get your paper done

Place your order

Fill in the order form and provide all details of your assignment.

Proceed with the payment

Choose the payment system that suits you most.

Receive the final file

Once your paper is ready, we will email it to you.

Our Services

No need to work on your paper at night. Sleep tight, we will cover your back. We offer all kinds of writing services.

Essays

Essay Writing Service

No matter what kind of academic paper you need and how urgent you need it, you are welcome to choose your academic level and the type of your paper at an affordable price. We take care of all your paper needs and give a 24/7 customer care support system.

Admissions

Admission Essays & Business Writing Help

An admission essay is an essay or other written statement by a candidate, often a potential student enrolling in a college, university, or graduate school. You can be rest assurred that through our service we will write the best admission essay for you.

Reviews

Editing Support

Our academic writers and editors make the necessary changes to your paper so that it is polished. We also format your document by correctly quoting the sources and creating reference lists in the formats APA, Harvard, MLA, Chicago / Turabian.

Reviews

Revision Support

If you think your paper could be improved, you can request a review. In this case, your paper will be checked by the writer or assigned to an editor. You can use this option as many times as you see fit. This is free because we want you to be completely satisfied with the service offered.