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Problem 1

Here are the journal entries for the transactions: 1. Debit Accounts Receivable and Credit Service Revenue for providing services on account. 2. Debit Land and Credit Cash for purchasing land by paying cash. 3. Debit Prepaid Insurance and Credit Cash for purchasing an insurance policy that will provide coverage for a two-year period. 4. Debit Cash and Credit Common Stock for acquiring cash by issuing common stock. 5. Debit Cash and Credit Unearned Services for receiving payment from a customer for services that will be provided over the next six months. 6. Debit Bank and Credit Cash for cash deposited into the bank. 7. Debit Purchases and Credit
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50% found this document useful (2 votes)
3K views12 pages

Problem 1

Here are the journal entries for the transactions: 1. Debit Accounts Receivable and Credit Service Revenue for providing services on account. 2. Debit Land and Credit Cash for purchasing land by paying cash. 3. Debit Prepaid Insurance and Credit Cash for purchasing an insurance policy that will provide coverage for a two-year period. 4. Debit Cash and Credit Common Stock for acquiring cash by issuing common stock. 5. Debit Cash and Credit Unearned Services for receiving payment from a customer for services that will be provided over the next six months. 6. Debit Bank and Credit Cash for cash deposited into the bank. 7. Debit Purchases and Credit
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Problem 1:

On April 01, 2016 Anees started business with Rs. 100,000 and other transactions
for the month are:
2. Purchase Furniture for Cash Rs. 7,000.
8. Purchase Goods for Cash Rs. 2,000 and for Credit Rs. 1,000 from Khalid Retail
Store.
14. Sold Goods to Khan Brothers Rs. 12,000 and Cash Sales Rs. 5,000.
18. Owner withdrew of worth Rs. 2,000 for personal use.
22. Paid Khalid Retail Store Rs. 500.
26. Received Rs. 10,000 from Khan Brothers.
30. Paid Salaries Expense Rs. 2,000
  Solution:
Problems 2:
Prepare general journal entries for the following transactions of a business called
Pose for Pics in 2016:
Aug. 1: Hashim Khan, the owner, invested Rs. 57,500 cash and Rs. 32,500 of
photography equipment in the business.
      04: Paid Rs. 3,000 cash for an insurance policy covering the next 24 months.
      07: Services are performed and clients are billed for Rs. 10,000.
      13: Purchased office supplies for Rs. 1,400. Cash paid Rs. 400 and remaining
outstanding.
      20: Received Rs. 2,000 cash in photography fees earned previously.
      24: The client immediately pays Rs. 15,000 for services to be performed at a
later date.
     29: The business acquires photography equipment. The purchase price is Rs.
100,000, pays Rs. 25,000 cash and signs a note for the balance.
Problem 3:
On March 2017, Farhan Rahim, starts wholesaling business. Following
transactions as follows:
1. He started business with capital of Rs. 15,000 and Land worth Rs. 10,000.
8. Bought goods from Bilal and Friends Rs. 1,000 and by cash from XYZ Co. Rs
2,000.
13. Sold goods to Rehman & sons Rs. 1,500 and sale by cash Rs. 5,000.
17. Gave away charity of cash Rs. 50 and merchandising worth Rs. 30.
21. Paid Bilal and Friends cash Rs. 975; discount received Rs. 25.
28. Received cash from Rehman & Sons Rs. 1,450; allowed him discount of Rs.
50.
Problem 4:
Shah Sauood Marine is a boat repair yard. During August 2016, its transactions
included the following:
03. Loan taken from Habib Bank Ltd. of Rs. 25,000. Rs. 20,000 withdrawn for
business and remaining in the bank a/c.
06. Paid rent for the month of August Rs. 4,400 and accrued rent expenses was Rs.
600.
12. At request of Kiwi Insurance, Inc, made repairs on boat of Jon Seaways. Sent
bill for Rs. 5,620 for services rendered to Kiwi Insurance Inc. (credit Repair
Service Revenue).
18. Made repairs to boat of Dennis Copper and collected in full the charge of Rs.
2,830.
20. Placed Advertisement in The Dawn of Rs. 165, payment to be made within 30
days.
25. Received a check for 5,620 from Kiwi Insurance Inc representing collection of
the receivable of August 12.
30. Sent check to The Dawn in payment of the liability incurred on August 20

Problems 5:
1st January, 2017, Saeed Ahmad started business other transactions for the month
of June as follows:
02. Purchased from Kareem goods of list price of Rs. 6,000 subject to 10% trade
discount by cash.
04. Sold goods to Din Muhammad Rs. 800 and cash sales of Rs. 200.
10. Distributed goods worth Rs. 200 as free samples and goods taken away by the
proprietor for personal use Rs. 100.
12. Received discount Rs 20 and Commission Rs 500.
17. Goods returned by Din Muhammad Rs. 200 and payment other outstanding
amount.
24. Furniture lost by fire of worth Rs. 500.
30. Bad Debts during the period was Rs.100.
1. Provide services to customers on account.
2. Purchase land by paying cash.
3. Purchase an insurance policy that will provide coverage for a two-year
period.
4. Acquire cash by issuing common stock.
5. Receive payment from a customer for services that will be provided over the
next six months.
6. Cash deposited into bank.
7. Purchased goods by cheque.
8. Drew cash from bank for office use.
9. Purchased goods from Miss Noreen.
10. Cash sales made.
11. Paid cash to Miss Noreen.
12. Recognize expense for amount of office supplies already in stock, that had
been used during the period.
13. Discount Received by cash.
14. Drew cash from bank for personal use of proprietor.
15. Received cash from credit customer.
16. Paid rent by cash.
17. Furniture lost by fire

S.no Account Debited Account Credited

1 Account Receivable Service Revenue

2 Land Cash

3 Prepaid Insurance Cash

4 Cash Common stock

5 Cash Unearned Services

6 Bank Cash

7 Purchases Bank
8 Cash Bank

9 Purchases Account Payable_ Miss Noreen

10 Cash Sales

11 Account Payable_ Miss Noreen Cash

12 Supplies Expense Supplies

13 Cash Discount

14 Drawing Bank

15 Cash Account Receivable

16 Rent Cash

17 Lost by Fire Furniture

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