Download presentation
Presentation is loading. Please wait.
Published byGarey Pearson Modified over 9 years ago
1
Chapter 6.1 Recording Journal Entries 16 Enter the date Recording Journal Entries
2
Chapter 6.1 Recording Journal Entries 16 Date 9Nov.20—
3
Chapter 6.1 Recording Journal Entries 16 Step 2 9Nov.20— Enter the debit account(s)
4
Chapter 6.1 Recording Journal Entries 16 Enter Debit Accounts 9Nov.20— Supplies
5
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies Enter the debit amount(s) Step 3
6
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Enter Debit Amounts
7
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Indent and enter the credit account(s) Step 4
8
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank Enter Credit Accounts
9
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank Enter the credit amount(s) Step 5
10
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Enter Credit Amounts
11
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Write a brief explanation (at left margin) Step 6
12
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 Write Explanation
13
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 Skip a line and complete next entry Skip a line
14
Chapter 6.1 Recording Journal Entries 16 1 3 5 – 9Nov.20— Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Record the Next Entry
15
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment Record the Next Entry
16
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – Record the Next Entry
17
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – A/P—World Wide Fibre Optics Record the Next Entry
18
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – A/P—World Wide Fibre Optics 10 0 0 0 – Record the Next Entry
19
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – A/P—World Wide Fibre Optics 10 0 0 0 – Bank Record the Next Entry
20
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – A/P—World Wide Fibre Optics 10 0 0 0 – Bank 2 0 0 0 – Record the Next Entry
21
Chapter 6.1 Recording Journal Entries 16 9Nov.20— Supplies 1 3 5 – Bank 1 3 5 – Letterhead and envelopes; cheque #40 12 Equipment 12 0 0 0 – A/P—World Wide Fibre Optics 10 0 0 0 – Bank 2 0 0 0 – Network software installation; issued cheque #41 with the balance due in 30 days. Record the Next Entry
22
Chapter 6.1 Recording Journal Entries 16 Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Equipment A/P—World Wide Fibre Optics Network software installation; issued cheque #41 with the balance due in 30 days. 12 0 0 0 – Bank 10 0 0 0 – 2 0 0 0 – 1 3 5 – 9Nov.20— Journal Entry Facts
23
Chapter 6.1 Recording Journal Entries 16 Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Equipment A/P—World Wide Fibre Optics Network software installation; issued cheque #41 with the balance due in 30 days. 12 0 0 0 – Bank 10 0 0 0 – 2 0 0 0 – 1 3 5 – 9Nov. 20— Consecutive page numbers Page Numbers Journal Entry Facts
24
Chapter 6.1 Recording Journal Entries 16 Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Equipment A/P—World Wide Fibre Optics Network software installation; issued cheque #41 with the balance due in 30 days. 12 0 0 0 – Bank 10 0 0 0 – 2 0 0 0 – 1 3 5 – 9Nov. 20— Each journal entry balances Balanced Entries Journal Entry Facts
25
Chapter 6.1 Recording Journal Entries 16 Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Equipment A/P—World Wide Fibre Optics Network software installation; issued cheque #41 with the balance due in 30 days. 12 0 0 0 – Bank 10 0 0 0 – 2 0 0 0 – 1 3 5 – 9Nov.20— A “compound entry” affects more than two accounts Compound Entries Journal Entry Facts
26
Chapter 6.1 Recording Journal Entries 16 Supplies 1 3 5 – Bank Letterhead and envelopes; cheque #40 12 Equipment A/P—World Wide Fibre Optics Network software installation; issued cheque #41 with the balance due in 30 days. 12 0 0 0 – Bank 10 0 0 0 – 2 0 0 0 – 1 3 5 – 9Nov. 20— Account titles are capitalized Account Titles Journal Entry Facts
27
Chapter 6.1 Recording Journal Entries 16 Amounts in the opening journal entry are the same as amounts on the opening balance sheet Bank Supplies Equipment Bank Loan Opening financial position of Shirley Cassar 19 5 5 0 – Shirley Cassar, Capital 10 0 0 0 – 1 4 0 0 – 30Oct.20— Automobile 22 0 9 0 – 8 7 1 5 – 2 4 2 5 – The Opening Entry
Similar presentations
© 2025 SlidePlayer.com. Inc.
All rights reserved.