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AUSTRA MECHANICAL SUPPLY, Chart of Accounts includes the following:

101 Cash 401 Sales


112 Accounts Receivable 412 Sales Returns and
120 Merchandise Inventory Allowances
126 Supplies 420 Sales Discount
155 Equipment 522 Cost of Goods Sold
201 Accounts Payable 601 Advertising Expenses
210 Notes Payable 644 Freight Out
301 C. Y., Capital 701 Salaries
310 C. Y., Drawings 710 Rent Expense
720 Utilities
800 Income Summary

Instruction: Using the sheets provided, submit the following in any order:
1 May 2017 Journal Entries with explanation
2 General Ledger posting for the month
3 Trial Balance
4 Statement of Performance
5 Closing Entries with explanation
6 Post-Closing Trial balance
7 Statement of Financial Position
8 Statement of Cash Flow
9 Statement of Changes in Owner's Equity
Austra Mechanical Supply completed the following merchandising
transactions in the month of May 2017 as follows:

DATE
MAY TRANSACTIONS
2017
Mr. Charles Yee, the owner started the Austra Mechanical Supply by investing
1 P100,000
Purchased merchandise on account from HoTong Supply Co. P30, 000, terms
1 2/10, n/30.
Sold 15,000 worth of goods for cash. The merchandise sold had a cost of
3 P8, 000.
5 Sold P12, 000 worth of goods on credit to Bravo Lines Inc. with credit terms
2/10,n/30 FOB destination. The cost for these goods was P6,500
6 Paid P500 for the delivery of goods to Bravo Lines Inc.
Received P1, 200 credit memo from HoTong Supply Co. for the return of
6 damaged goods.
10 Purchased merchandise for cash P25,000
11 Made full payment to HoTong Supply Co.
11 Purchased supplies for cash P2,000.00
13 Purchased merchandise for cash P30,000
Made sales to 2Go Shipping for P24, 000 with credit term 2/10, n/30 FOB
14 destination. The goods cost P12,700
15 Received payment from Bravo Lines Inc. regarding the May 5 sales.
15 Paid salaries of P6,500
16 Issued a credit memo for P1, 000.00 to 2Go Shipping for the return of
damaged goods. The returned goods is valued P600.00 and were returned to
inventory
17 Received refund for poor quality merchandise from cash purchases P700
18 C. Yee withdrew cash from the business P12,000
19 Purchased office equipment for cash P15,000
Purchased merchandise from Belmont Enterprises on account P18, 000, credit
19 terms 2/10,n/30 FOB Shipping Point.
The business made a loan at City Bank and issued promissory note in the
20 amount of P50,000
22 Paid freight for the purchase of merchandise P750
25 Sold merchandise for cash P33, 300 cost of sold P18, 300.
Made partial payment to Belmont Enterprises P10, 000 no discount for partial
25 payment made.
Made refunds to cash customer for defective merchandise P1,500, costing
29 P 900
30 Received payment from 2Go Shipping
30 Sold merchandise on account P13, 500. Cost of goods P7,200
Paid the following operating expenses for the month: Salaries 6,500;
31 rent 7,000; utilities P1,500 advertising P1,200

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