Question

In: Accounting

Blue Spruce’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of 2/10,...

Blue Spruce’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. At the end of May, Blue Spruce’s inventory consisted of books purchased for $1,600. During June, the following merchandising transactions occurred.

June 1 Purchased books on account for $1,400 from Kline Publishers, FOB destination, terms 2/10, n/30. The appropriate party also made a cash payment of $50 for the freight on this date.
3 Sold books on account to Reading Rainbow for $2,000. The cost of the books sold was $940.
6 Received $100 credit for books returned to Kline Publishers.
9 Paid Kline Publishers in full, less discount.
15 Received payment in full from Reading Rainbow.
17 Sold books on account to Blanco Books for $2,400. The cost of the books sold was $1,440.
20 Purchased books on account for $1,300 from Dietz Publishers, FOB destination, terms 2/15, n/30. The appropriate party also made a cash payment of $60 for the freight on this date.
24 Received payment in full from Blanco Books.
26 Paid Dietz Publishers in full, less discount.
28 Sold books on account to Reddy Bookstore for $1,400. The cost of the books sold was $1,000.
30 Granted Reddy Bookstore $100 credit for books returned costing $60.


Blue Spruce’s Book Warehouse’s chart of accounts includes the following: No. 101 Cash, No. 112 Accounts Receivable, No. 120 Inventory, No. 201 Accounts Payable, No. 401 Sales Revenue, No. 412 Sales Returns and Allowances, No. 414 Sales Discounts, and No. 505 Cost of Goods Sold.

Journalize the transactions for the month of June for Blue Spruce’s Book Warehouse using a perpetual inventory system.

Solutions

Expert Solution

Date Account Title and Explanation Debit Credit
01-Jun Inventory $1,400.00
Accounts Payable $1,400.00
03-Jun Accounts Receivable $2,000.00
Sales Revenue $2,000.00
(To record credit sale)
03-Jun Cost of Goods Sold $940.00
Inventory $940.00
(To record cost of merchandise sold)
06-Jun Accounts Payable $100.00
Inventory $100.00
09-Jun Accounts Payable $1,300.00
Inventory $26.00
Cash $1,274.00
15-Jun Cash $2,000.00
Accounts Receivable $2,000.00
17-Jun Accounts Receivable $2,400.00
Sales Revenue $2,400.00
(To record credit sale)
17-Jun Cost of Goods Sold $1,440.00
Inventory $1,440.00
(To record cost of merchandise sold)
20-Jun Inventory $1,300.00
Accounts Payable $1,300.00
24-Jun Cash $2,352.00
Sale Discounts $48.00
Accounts Receivable $2,400.00
26-Jun Accounts Payable $1,300.00
Inventory $26.00
Cash $1,274.00
28-Jun Accounts Receivable $1,400.00
Sales Revenue ########
(To record credit sale)
28-Jun Cost of Goods Sold $10,000.00
Inventory $1,000.00
(To record cost of merchandise sold)
30-Jun Sales Return and Allowance $100.00
Accounts Receivable $1,000.00
(To record merchandise returned)
30-Jun Inventory $60.00
Cost of Goods Sold $60.00
(To record cost of merchandise returned)

Related Solutions

Powell’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of 2/10, n/30...
Powell’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. At the end of May, Powell’s inventory consisted of books purchased for $1,800. During June, the following merchandising transactions occurred. June 1 Purchased books on account for $1,600 from Kline Publishers, FOB destination, terms 2/10, n/30. The appropriate party also made a cash payment of $50 for the freight on this date. 3 Sold books on account to Reading...
Problem 5-1A Kern’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of...
Problem 5-1A Kern’s Book Warehouse distributes hardcover books to retail stores and extends credit terms of 1/10, n/30 to all of its customers. At the end of May, Kern’s inventory consisted of books purchased for $2,400. During June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,100 from Binsfeld Publishers, FOB destination, terms 2/10, n/30. The appropriate party also made a cash payment of $60 for the freight on this date. 3 Sold books on account...
Sunland Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to...
Sunland Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,250 (including freight) from Catlin Publishers, terms 2/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,500. The cost of the merchandise sold was $750. 6 Received $50 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers in full....
Sandhill Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to...
Sandhill Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,575 (including freight) from Catlin Publishers, terms 2/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,300. The cost of the merchandise sold was $900. 6 Received $75 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers in full....
Oriole Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to...
Oriole Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $1,165 (including freight) from Catlin Publishers, terms 2/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,200. The cost of the merchandise sold was $750. 6 Received $65 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers in full....
Problem 5-2A McCoy Warehouse distributes hardback books to retail stores and extends credit terms of 2/10,...
Problem 5-2A McCoy Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $1,040 (including freight) from Carlin Publishers, terms 2/10, n/30. 3 Sold books on account to the Goldschmidt bookstore for $1,200. The cost of the merchandise sold was $720. 6 Received $40 credit for books returned to Carlin Publishers. 9 Paid Carlin...
Problem 5-02A Cullumber Warehouse distributes hardback books to retail stores and extends credit terms of 2/10,...
Problem 5-02A Cullumber Warehouse distributes hardback books to retail stores and extends credit terms of 2/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,160 (including freight) from Catlin Publishers, terms 2/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,000. The cost of the merchandise sold was $800. 6 Received $60 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers...
Blossom Warehouse distributes hardback books to retail stores and extends credit terms of 4/10, n/30 to...
Blossom Warehouse distributes hardback books to retail stores and extends credit terms of 4/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,355 (including freight) from Catlin Publishers, terms 4/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,200. The cost of the merchandise sold was $700. 6 Received $55 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers in full....
Powell Warehouse distributes hardback books to retail stores and extends credit terms of 4/10, n/30 to...
Powell Warehouse distributes hardback books to retail stores and extends credit terms of 4/10, n/30 to all of its customers. During the month of June, the following merchandising transactions occurred. June 1 Purchased books on account for $2,840 (including freight) from Catlin Publishers, terms 4/10, n/30. 3 Sold books on account to Garfunkel Bookstore for $1,050. The cost of the merchandise sold was $700. 6 Received $40 credit for books returned to Catlin Publishers. 9 Paid Catlin Publishers in full....
Mira’s Book distributes books to retail stores and extends credit terms of 2/15 n/30 to all...
Mira’s Book distributes books to retail stores and extends credit terms of 2/15 n/30 to all of its customers. At the end of May, Mira’s inventory consisted of 100 books purchased for @ of $18 total of $1,800. During June, the following merchandising transactions occurred.And they are following periodic inventory system. June 1 Purchased 32 books on account for @ of $50 total of $1,600 from Bondhu Publishers, FOB destination, terms 2/4, n/30. The appropriate party also made a cash...
ADVERTISEMENT
ADVERTISEMENT
ADVERTISEMENT