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Homework answers / question archive / Chapter 6 Test Review Terms: Bank credit memo (advice) Is an official notice from a business or a bank that documents a refund Cash receipts daily summary A list of cash received by a business Clearing an account balance An amount of money that can be withdrawn
Chapter 6 Test Review
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Is an official notice from a business or a bank that documents a refund |
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A list of cash received by a business |
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An amount of money that can be withdrawn. Until funds are considered to be cleared. |
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It is a combination between provincial and federal tax. |
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First entry made when a new business is starting |
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Purchase on account made by the business |
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Sale on account to a customer. |
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The right side of an account |
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A bank document informing the business of decrease made in the business’s bank account. |
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A business dorm showing the details of a transaction in which goods or services are sold to a customer for cash |
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A transaction that affects more than two accounts |
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A journal is a book in which the accounting entries for all transactions are first recorded |
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Is an electronic device cash register used to process payment at retail locations. |
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A payment being made to a creditor or the government |
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An additional charge added to sales |
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Account in a ledger that reduces the value of a related account. Eg. HST Recoverable is contra (a subtraction from) to HST Payable |
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Refers to the accounting journals in which business transactions are initially recorded – General Journal. |
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Is a document supporting the accounting entry for a payment by cheque |
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Tax that’s added to most goods and services sold for domestic consumption. Revenue for federal government |
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A record of accounts affected by a transaction |
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A tax charged on sales that needs to be collected from customers and sent to the provincial government |
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The tear-off section of a cheque explaining what the cheque is for |
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The left side of an account |
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Evidence that a transactions has occurred—e.g. cash sales slip, sales invoice, purchase invoice, cheque copy |
Cash sales slip |
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Purchase Invoice |
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Cash receipts daily summary |
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Bank credit memo |
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Sales Invoice |
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Cheque Copy |
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Bank debit memo |
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End of |
HST Recoverable |
HST Payable |
Amount of Remittance |
Refund Claimed |
Period |
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Oct. 31 |
1025.96 |
988.36 |
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31-May |
5514.23 |
9633.54 |
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Nov. 30 |
215.63 |
664.25 |
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Dean Hemiston paid $492, including 13% HST, for some equipment. |
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A. |
Calculate the price of the supplies before the sales tax was added. Show your work. |
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B. |
Calculate the sales tax on the goods. Show your work. |
Create an opening entry for a new business.
Jack Whitcombe and Sons is a consultant engineering firm. The accounts for the firm are as follows.
Bank |
HST Recoverable |
Car Expense |
A/R—various |
HST Payable |
Office Expense |
Supplies |
J. Whitcombe, Capital |
Rent Expense |
Office Equipment |
J. Whitcombe, Drawings |
Wages Expense |
Automobile |
Fees Earned |
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A/P—various |
Bank Charges |
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Journalize the following transactions, using the general journal page below. The rate for HST is 13%. Calculate and add the HST on all sales and purchase transactions. Do not provide explanations. The next page number of the journal is 16.
Transactions
Oct. 2 Cash Sales Slip
No. 102 to S. Stewart, $102.50 plus taxes.
6 Sales Invoice
No. 617 to Jack Morrison, $250.90 plus taxes.
10 Cheque Copy
No. 910 to Industrial Suppliers, $500 on account.
12 Cash Receipt
From Jack Mahoney, $322.50 on account.
18 Purchase Invoice
From Grand’s Stationers, $60.50 for office supplies plus HST of 7.87, total $68.37.
20 Cheque Copy
No. 911 to Jack Whitcombe, $525 for personal use.
24 Bank Debit Memo
$31.90 for bank service charge.
30 Cheque Copy
No. 912 to W. Moss, $900 for part-time wages.
31 Cash Sales Slip
No. 103 to J. Beck, $450 plus taxes.
31 Cheque Copy
The balances in the HST accounts for the previous period were: HST Recoverable $770 and HST Payable $1820. Cheque 913 was written to the Receiver General for $1050 to clear the accounts for that period.