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    Jan 27, 2012, 02:52 AM
    Accounting Case study problems! Help!
    I have done and re-done this case study literally 6 or so times with all incorrect inbalances and without the correct check numbers, I am in desperate need of help journalizing these transactions:

    11/1 Jasmine contributes 55,000 in cash, 20,000 in computers, 8,000 in office furniture to her new company in exchange for Common Stock.

    my answer: D Cash 55,000
    D Computers 20,000
    D Office furniture 8,000
    C C-STK 83,000

    11/2 Paid 6,000 for four months rent.

    my answer: D Prepaid rent expense 6,000
    C Cash 6,000

    11/2 paid 2,200 for one year liability insurance policy.

    My answer: D prepaid insurance 2,200
    C Cash 2,200

    11/4 Received 4,000 from Alpha Co. For computer services.
    My answer: D Cash 4,000
    C A/R 4,000

    11/5 purchased 10,000 of merchandise from Mass corp, terms 1/10, net/30, FOB shipping point.
    My answer: D MI 10,000
    C A/P 10,000

    11/5 Paid $500 freight charges for the Mass Corp purchase.

    My answer: D MI 500
    C Cash 500

    11/7 Paid digital chronicles $600 for advertising expense.

    My answer: D Advertising exp 600
    C Cash 600

    11/8 Discovered $1000 of the merchandise ordered on 11/5 was wrong, returned it back to Mass Corp.
    My answer D A/P Mass Corp 1000
    C MI 1000

    11/11 Paid 850 for computer repairs expense.

    My answer D Computer repair expense 850
    C Cash 850

    11/11 Sold merchandise to BG johnson for 2,000, terms 1/10, net/30, FOB shipping point. The merchandise cost 1,500.

    My answer D A/R 2,000
    C Sales 2,000
    D COGS 1,500
    C MI 1,500

    11/13 Purchased office supplies on account for 2,400.

    My answer D Supplies 2,400
    C A/P 2,400

    11/14 Received 6,000 from IMB corp for computer consulting services.

    My answer D Cash 6,000
    C A/R 6,000

    11/15 Paid mass corp for the merchandise purchased on 11/5 net of any discounts and returns.

    My answer D A/P 9000
    C MI 90
    C Cash 8,910

    11/16 Paid the Utility bills totaling 150.

    My answer D Utility Exp 150
    C Cash 150

    11/19 purchased 15,000 of merchandise from Mass corp, terms 1/10, net/30, FOB shipping destination.

    My answer D MI 15,000
    C A/P 15,000

    11/21 Received payment from BG johnson.

    My answer D Cash 1,980
    D Sales-Disc 20
    C A/R 2,000

    11/25 Sold merchandise to Apollo corp for 5,000, terms 1/10 net/30, FOB shipping point, the Merchandise cost 3,000.

    My answer D Cash 5,000.
    C Sales 5,000.
    D COGS 3,000
    C MI 3,000.

    11/30 Apollo returned 1,000 of merchandise that had cost 500. The merchandise was defective.

    My answer D SRA 1,000.
    C A/R 1,000.

    12/1 Paid Janet for 10 days of work at 125/day.

    My answer D Wage expense 1250
    C Cash 1250

    12/1 Reimbursed Janet for mileage expenses, 250 miles at a rate of .58 per mile.

    My answer D Mileage expense 145
    C Cash 145

    12/5 Received 15,000 from cash-customers for computer consulting services.

    My answer D Cash 15,000
    C sales 15,000.

    12/6 Note: _ Billed Alpha co. For computer consulting services, 4,000.

    12/8 Sold to ding Inc. merchandise with a cost of 2,000 for 3,000, terms 1/10, net/30, FOB shipping point.

    My answer D Cash 3,000
    C Sales 3,000
    D COGS 2,000
    C MI 2,000

    12/9 Perchased MI from Mass corp, 8,000, terms 1/10, net/30 FOB Destination.

    My answer D MI 8,000
    C A/P 8,000

    12/9 Realized we forgot to pay Mass corp for the purchase of 11/19, and paid now.

    My answer D A/P 15,000
    C Cash 15,000

    12/10 paid 1,500 of the amount owed for the office supplies purchased on 11/13.

    My answer D A/P 1,500
    C Cash 1,500

    12/13 received payment from Alpha Co.

    My answer D Cash 4,000
    C A/R 4,000

    12/18 Received 3,000 from DELLta computers for computer consulting services

    My answer D Cash 3,000
    C A/R 3,000

    12/20 Sold merchandise to Echo Modems for 1,500, terms 1/10, net/30, FOB shipping Destination. The Merchandise cost 1,200 and the shipping cost was 100.

    My answer D Cash 1,500
    C Sales 1,500
    D COGS 1,200
    C MI 1,200
    --------------------
    D Freight expense 100
    C Cash 100

    12/21 Reimbursed Jasmine Mileage expense, 300 miles at a rate of .58/mile.

    My answer D Mileage Expense 174
    C Cash 174

    12/22 Paid Jasmine 3,000 in Dividends.

    My answer D Dividends 3,000
    C A/P Jasmine 3,000

    12/22 paid janet fpr eight days of work at 125/day.

    My answer D Wage expense 1000
    C Cash 1000

    12/23 Paid utility bills, 200.

    My answer D Utility Expense 200
    C Cash 200.

    On the Trial balance everything seems to match with the check figures I was given except for: Cash, A/R, A/P. MI, and Sales.

    Check figures: Cash should = D47,401
    A/R should = D16,000
    A/P should = C8,900
    MI should = D24,710
    sales should = C51,000.
    Note; I've already turned in my results with really no difinitive answer to what exactly is right and what is wrong in my journal, just an over all grade, so I figured I would try to figure it out on my own, but alas to no success! Please, put this journal to rest so I can understand better.

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