In: Accounting
On June 10, Carla Vista Company purchased $7,900 of merchandise
from Wildhorse Company, terms 4/10, n/30. Carla Vista Company pays
the freight costs of $390 on June 11. Goods totaling $600 are
returned to Wildhorse Company for credit on June 12. On June 19,
Carla Vista Company pays Wildhorse Company in full, less the
purchase discount. Both companies use a perpetual inventory
system.
Prepare separate entries for each transaction on the books of Carla Vista Company. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.)
Date |
Account Titles and Explanation |
Debit |
Credit |
---|---|---|---|
choose a transaction date June 10June 11June 12June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
choose a transaction date June 10June 11June 12June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
choose a transaction date June 10June 11June 12June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
choose a transaction date June 10June 11June 12June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
enter an account title |
enter a debit amount |
enter a credit amount |
eTextbook and Media
List of Accounts
Prepare separate entries for each transaction for Wildhorse Company. The merchandise purchased by Carla Vista Company on June 10 cost Wildhorse Company $2,620, and the goods returned cost Wildhorse Company $200. (If no entry is required, select "No entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.)
Date |
Account Titles and Explanation |
Debit |
Credit |
---|---|---|---|
choose a transaction date June 10June 11June 12June 19 |
enter an account title to record credit sale |
enter a debit amount |
enter a credit amount |
enter an account title to record credit sale |
enter a debit amount |
enter a credit amount |
|
(To record credit sale) |
|||
enter an account title to record cost of goods sold |
enter a debit amount |
enter a credit amount |
|
enter an account title to record cost of goods sold |
enter a debit amount |
enter a credit amount |
|
(To record cost of goods sold) | |||
choose a transaction date June 10June 11June 12June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
choose a transaction date June 10June 11June 12June 19 |
enter an account title to record credit sale |
enter a debit amount |
enter a credit amount |
enter an account title to record credit sale |
enter a debit amount |
enter a credit amount |
|
(To record credit sale) |
|||
enter an account title to record cost of goods returned |
enter a debit amount |
enter a credit amount |
|
enter an account title to record cost of goods returned |
enter a debit amount |
enter a credit amount |
|
(To record cost of goods returned) | |||
June 19 |
enter an account title |
enter a debit amount |
enter a credit amount |
enter an account title |
enter a debit amount |
enter a credit amount |
|
enter an account title |