In: Accounting
Transactions for Petty Cash, Cash Short and Over
Cedar Springs Company completed the following selected transactions during June:
June 1. | Established a petty cash fund of $910. |
12. | The cash sales for the day, according to the cash register records, totaled $10,951. |
The actual cash received from cash sales was $10,995. | |
30. | Petty cash on hand was $69. Replenished the petty cash fund for the following |
disbursements, each evidenced by a petty cash receipt: | |
June 2. Store supplies, $100. | |
June 10. Express charges on merchandise purchased, $146 (Merchandise Inventory). | |
June 14. Office supplies, $64. | |
June 15. Office supplies, $73. | |
June 18. Postage stamps, $76 (Office Supplies). | |
June 20. Repair to fax, $182 (Miscellaneous Administrative Expense). | |
June 21. Repair to office door lock, $64 (Miscellaneous Administrative Expense). | |
June 22. Postage due on special delivery letter, $49 (Miscellaneous Administrative Expense). | |
June 28. Express charges on merchandise purchased, $73 (Merchandise Inventory). | |
30. | The cash sales for the day, according to the cash register records, totaled $19,256. |
The actual cash received from cash sales was $19,233. | |
30. | Increased the petty cash fund by $228. |
Required:
Journalize the transactions. For a compound transaction, if an amount box does not require an entry, leave it blank.
June 1 | Petty Cash | ||
Cash | |||
June 12 | Cash | ||
Cash Short and Over | |||
Sales | |||
June 30-Replenish | Store Supplies | ||
Merchandise Inventory | |||
Office Supplies | |||
Miscellaneous Administrative Expense | |||
Cash Short and Over | |||
Cash | |||
June 30-Sale | Cash | ||
Cash Short and Over | |||
Sales | |||
June 30-Petty cash | Petty Cash | ||
Cash |