SlideShare una empresa de Scribd logo
1 de 6
LESSON 3-3 Journalizing Transactions That Affect Owner’s Equity and Receiving Cash on Account
RECEIVED CASH FROM SALES page 68 August 12. Received cash from sales, $295.00. Tape No. 12. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
SOLD SERVICES ON ACCOUNT page 69 August 12. Sold services on account to Oakdale School, $350.00. Sales Invoice No. 1. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
PAID CASH FOR AN EXPENSE page 70 August 12. Paid cash for rent, $300.00. Check No. 4. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
RECEIVED CASH ON ACCOUNT page 71 August 12. Received cash on account from Oakdale School, $200.00. Receipt No. 2. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
PAID CASH TO OWNER FOR  PERSONAL USE page 72 August   12. Paid cash to owner for personal use, $125.00. Check No. 6. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2

Más contenido relacionado

Similar a Lesson03 3g

Lesson05 3g
Lesson05 3gLesson05 3g
Lesson05 3gpcomo
 
petty cah training.ppt
petty cah training.pptpetty cah training.ppt
petty cah training.pptNesriYaya
 
Lesson05 2g
Lesson05 2gLesson05 2g
Lesson05 2gpcomo
 
Lesson05 1g
Lesson05 1gLesson05 1g
Lesson05 1gpcomo
 
The Accounting Cycle: Step 2 - Journalizing
The Accounting Cycle: Step 2 - Journalizing The Accounting Cycle: Step 2 - Journalizing
The Accounting Cycle: Step 2 - Journalizing leblanjo
 
Chapter 6 recording transactions in a general journal
Chapter 6 recording transactions in a general journalChapter 6 recording transactions in a general journal
Chapter 6 recording transactions in a general journalIva Walton
 
Lesson08 2g
Lesson08 2gLesson08 2g
Lesson08 2gpcomo
 
Lesson04 2g
Lesson04 2gLesson04 2g
Lesson04 2gpcomo
 
Gursale Sir Chapter 3 Source Documents
Gursale Sir Chapter 3 Source DocumentsGursale Sir Chapter 3 Source Documents
Gursale Sir Chapter 3 Source DocumentsAjay Gursale
 
CHAPTER 2 Recording Business Transactions
CHAPTER 2  Recording Business TransactionsCHAPTER 2  Recording Business Transactions
CHAPTER 2 Recording Business TransactionsGene Carboni
 
Journal ledger and trial balance
Journal ledger and trial balanceJournal ledger and trial balance
Journal ledger and trial balanceFahim Muntaha
 

Similar a Lesson03 3g (20)

Lesson 3 2
Lesson 3 2Lesson 3 2
Lesson 3 2
 
Lesson05 3g
Lesson05 3gLesson05 3g
Lesson05 3g
 
petty cah training.ppt
petty cah training.pptpetty cah training.ppt
petty cah training.ppt
 
Lesson05 2g
Lesson05 2gLesson05 2g
Lesson05 2g
 
Lesson 20 2
Lesson 20 2Lesson 20 2
Lesson 20 2
 
Lesson05 1g
Lesson05 1gLesson05 1g
Lesson05 1g
 
The Accounting Cycle: Step 2 - Journalizing
The Accounting Cycle: Step 2 - Journalizing The Accounting Cycle: Step 2 - Journalizing
The Accounting Cycle: Step 2 - Journalizing
 
Lesson 9 2
Lesson 9 2Lesson 9 2
Lesson 9 2
 
Chapter 6 recording transactions in a general journal
Chapter 6 recording transactions in a general journalChapter 6 recording transactions in a general journal
Chapter 6 recording transactions in a general journal
 
Les 05 2
Les 05 2Les 05 2
Les 05 2
 
Les 03 3
Les 03 3Les 03 3
Les 03 3
 
Lesson 11 5
Lesson 11 5Lesson 11 5
Lesson 11 5
 
Accounting cycle
Accounting cycleAccounting cycle
Accounting cycle
 
Lesson08 2g
Lesson08 2gLesson08 2g
Lesson08 2g
 
Lesson04 2g
Lesson04 2gLesson04 2g
Lesson04 2g
 
Gursale Sir Chapter 3 Source Documents
Gursale Sir Chapter 3 Source DocumentsGursale Sir Chapter 3 Source Documents
Gursale Sir Chapter 3 Source Documents
 
Les 18 4
Les 18 4Les 18 4
Les 18 4
 
CHAPTER 2 Recording Business Transactions
CHAPTER 2  Recording Business TransactionsCHAPTER 2  Recording Business Transactions
CHAPTER 2 Recording Business Transactions
 
1 ledger posting
1 ledger posting1 ledger posting
1 ledger posting
 
Journal ledger and trial balance
Journal ledger and trial balanceJournal ledger and trial balance
Journal ledger and trial balance
 

Más de pcomo

Smithtown school of business
Smithtown school of businessSmithtown school of business
Smithtown school of businesspcomo
 
Smithtown school of business
Smithtown school of businessSmithtown school of business
Smithtown school of businesspcomo
 
Smithtown School of Business Presentation
Smithtown School of Business PresentationSmithtown School of Business Presentation
Smithtown School of Business Presentationpcomo
 
Business olympics 2016
Business olympics 2016Business olympics 2016
Business olympics 2016pcomo
 
2016 Business Olympics
2016 Business Olympics2016 Business Olympics
2016 Business Olympicspcomo
 
Smithtown school of business recognition programs overview
Smithtown school of business recognition programs overviewSmithtown school of business recognition programs overview
Smithtown school of business recognition programs overviewpcomo
 
Smithtown School of Business Recognition Programs
Smithtown School of Business Recognition ProgramsSmithtown School of Business Recognition Programs
Smithtown School of Business Recognition Programspcomo
 
Smithtown school of business Honor Society
Smithtown school of business Honor SocietySmithtown school of business Honor Society
Smithtown school of business Honor Societypcomo
 
Chapter 27 pp
Chapter 27 ppChapter 27 pp
Chapter 27 pppcomo
 
Lesson01 1g
Lesson01 1gLesson01 1g
Lesson01 1gpcomo
 
Lesson08 3g
Lesson08 3gLesson08 3g
Lesson08 3gpcomo
 
Lesson08 1g
Lesson08 1gLesson08 1g
Lesson08 1gpcomo
 
Lesson07 2g
Lesson07 2gLesson07 2g
Lesson07 2gpcomo
 
Lesson07 1g
Lesson07 1gLesson07 1g
Lesson07 1gpcomo
 
Lesson06 4g
Lesson06 4gLesson06 4g
Lesson06 4gpcomo
 
Lesson06 3g
Lesson06 3gLesson06 3g
Lesson06 3gpcomo
 
Lesson06 2g
Lesson06 2gLesson06 2g
Lesson06 2gpcomo
 
Lesson06 1g
Lesson06 1gLesson06 1g
Lesson06 1gpcomo
 
Lesson04 3g
Lesson04 3gLesson04 3g
Lesson04 3gpcomo
 
Lesson04 1g
Lesson04 1gLesson04 1g
Lesson04 1gpcomo
 

Más de pcomo (20)

Smithtown school of business
Smithtown school of businessSmithtown school of business
Smithtown school of business
 
Smithtown school of business
Smithtown school of businessSmithtown school of business
Smithtown school of business
 
Smithtown School of Business Presentation
Smithtown School of Business PresentationSmithtown School of Business Presentation
Smithtown School of Business Presentation
 
Business olympics 2016
Business olympics 2016Business olympics 2016
Business olympics 2016
 
2016 Business Olympics
2016 Business Olympics2016 Business Olympics
2016 Business Olympics
 
Smithtown school of business recognition programs overview
Smithtown school of business recognition programs overviewSmithtown school of business recognition programs overview
Smithtown school of business recognition programs overview
 
Smithtown School of Business Recognition Programs
Smithtown School of Business Recognition ProgramsSmithtown School of Business Recognition Programs
Smithtown School of Business Recognition Programs
 
Smithtown school of business Honor Society
Smithtown school of business Honor SocietySmithtown school of business Honor Society
Smithtown school of business Honor Society
 
Chapter 27 pp
Chapter 27 ppChapter 27 pp
Chapter 27 pp
 
Lesson01 1g
Lesson01 1gLesson01 1g
Lesson01 1g
 
Lesson08 3g
Lesson08 3gLesson08 3g
Lesson08 3g
 
Lesson08 1g
Lesson08 1gLesson08 1g
Lesson08 1g
 
Lesson07 2g
Lesson07 2gLesson07 2g
Lesson07 2g
 
Lesson07 1g
Lesson07 1gLesson07 1g
Lesson07 1g
 
Lesson06 4g
Lesson06 4gLesson06 4g
Lesson06 4g
 
Lesson06 3g
Lesson06 3gLesson06 3g
Lesson06 3g
 
Lesson06 2g
Lesson06 2gLesson06 2g
Lesson06 2g
 
Lesson06 1g
Lesson06 1gLesson06 1g
Lesson06 1g
 
Lesson04 3g
Lesson04 3gLesson04 3g
Lesson04 3g
 
Lesson04 1g
Lesson04 1gLesson04 1g
Lesson04 1g
 

Lesson03 3g

  • 1. LESSON 3-3 Journalizing Transactions That Affect Owner’s Equity and Receiving Cash on Account
  • 2. RECEIVED CASH FROM SALES page 68 August 12. Received cash from sales, $295.00. Tape No. 12. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
  • 3. SOLD SERVICES ON ACCOUNT page 69 August 12. Sold services on account to Oakdale School, $350.00. Sales Invoice No. 1. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
  • 4. PAID CASH FOR AN EXPENSE page 70 August 12. Paid cash for rent, $300.00. Check No. 4. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
  • 5. RECEIVED CASH ON ACCOUNT page 71 August 12. Received cash on account from Oakdale School, $200.00. Receipt No. 2. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2
  • 6. PAID CASH TO OWNER FOR PERSONAL USE page 72 August 12. Paid cash to owner for personal use, $125.00. Check No. 6. 1. Write the date in the Date column. 2. Write the title of the account debited. Write the debit amount. 3. Write the title of the account credited. Write the credit amount. 4. Write the source document number in the Doc. No. column. 4 1 3 3 2 2