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Part 3 October Transactions
Vendor Transactions: Enter Bills
Purchases of Supplies: Enter Bills
Date Transaction
10/02/2015 Received Invoice 66JE and shipment from Big
Bytes Supplies for the purchase of computer supplies that
included the purchase of USB drives on credit, Net. 30, $300.
10/03/2015 Received invoice EX32 and shipment from Sales
Products Supply for the purchase of office expenses that
included the purchase of paper, printer cartridges, and message
pads on credit, terms Net 30, $245.
10/04/2015 Received Invoice 89JE and shipment from Big
Bytes Supplies for the purchase of computer supplies that
include the purchase of computer supplies that included the
purchase of memory cartridges and memory sticks on credit,
terms Net 30, $520.
10/05/2015 Received Invoice EX45 and shipment from Sales
Products Supply for the credit purchase of office expenses that
included the purchases of office supplies, Net 30, $385.
Purchase Returns: Enter Vendor Credits
Date Transaction
10/05/2015 Returned 1 USB drive to Big Bytes Supplies,
Invoice 66JE, $50.
Vendor Payments: Pay Bills
Date Transaction
10/06/2015 Paid Big Bytes Supplies’ $520 opening balance
by hand-writing a check (#1) for $470 and applying the October
5 vendor credit for $50. (Hint: Your business’ opening balance
was $520. On October 5, you returned USB drives for a $50
credit. The balance owed to Big Bytes Supplies after the return
is $470, excluding any purchases made during October.)
10/07/2015 Paid Big Bytes Supplies, Invoice 66JE, $300 for
the October 4 purchase with check number 2.
10/07/2015 Paid Sales Products Supply, Invoice EX32, $245
for the October 3 purchase with check number 3.
Customer Transactions: Create Invoice
Date Transactions
10/08/2015 Sold services on account to Two Sisters B&B,
Invoice No. 1004 for $1,200 which included 12 hours new
services at $100 per hour due to the instillation of a wireless
network.
10/09/2015 Sold maintenance services on account to NFP
Access, Invoice No. 1005, for a total of $300 for 10 hours of
maintenance work at $30 per hour.
10/10/2015 Sold Services on account to Cyberconnect Café,
Invoice No. 1006, $780 for 6 hours of maintenance services at
$30 per hour and 12 hours of repair services at $50 per hour.
10/11/2015 Sold services on account to Two Sisters B&B,
Invoice 1007, $540 for 8 hours of maintenance services at $30
per hour and 1.5 hours of emergency services at $200 per hour.
Sales Returns and Allowances: Give Credit or Refund
Date Transactions
10/13/2015 Two Sisters B&B received a $150 reduction in
their October 8 Invoice (#1004) due to damage done to a wall
during the wireless network installation. (This is numbered
Credit Memo 1008.)
Receipts From Customers: Receive Customer Payments
Date Transaction
10/13/2015 Received a check from Two sisters B&B in
payment of their opening balance, $300.00, Check No. 9290.
10/16/2015 Received a check from Cyberconnect Café in
payment of their opening balance, $280.00, Check No. 4522.
10/16/2015 Received a check from NFP Access in payment
of their opening balance, $295.00, Check No. 816.
10/16/2015 Received a $1,050 check from Two Sisters B&B
in payment of October 7 invoice, less the October 13 credit
memo, Check No. 9346.
10/18/2015 Received a $300 check from NFP Access in
payment of October 9 Invoice, Check No. 901.
10/19/2015 Received a $780 check from Cyberconnect Café
in payment of October 10 Invoice, Check No. 5001.
10/19/2015 Received a $540 check from Two Sisters B&B in
payment of October 11 Invoice, Check No. 9401.
Cash Transactions
Cash Sales: Enter Sales Receipt
Date Transaction
10/20/2015 Cash sales of various repairs, $2,150, received
check No. 801.
Cash Payments: Write Checks
Date Transaction
10/21/2015 Issued Check No. 4 to Johnathan Brent, a new
vendor, for repairs, $75. Use the “Repair & Maintenance”
expense account.
10/21/2015 Issued Check No. 5 to the Sun News, a new
vendor, for advertising, $125. Use the “advertising” expense
account.
10/21/2015 Issued Check No. 6 to Santa Fe Rentals, a new
vendor, for equipment rental, $265. Use the “Rent or Lease”
expense account.
10/22/2015 Issued Check No. 7 to Comtel, a new vendor, for
the monthly telephone and Internet service, $269. Use the
“Office expense” account.
10/30/2015 Issued Check No. 8 to Regional Utilities, a new
vendor, for monthly utilities bill, $206. Use the “Utilities”
expense account.
10/30/2015 Issued Check No. 9 to the sole stockholder in
payment of a $1,000 cash dividend. Since you are the sole
stockholder in your corporation, type your first and last name
after “Pay to the order of”, then Dividends in the account field.
November Transactions
Date Transaction
11/02/2015 Paid vendor bill. Issued Check No. 10 to the
Sales Products Supply in payment of Invoice EX45, $385.
11/04/2015 Entered vendor bill. Received Invoice 98JE and
shipment from Big Bytes Supplies for the purchase of computer
supplies, Net 30, $2,625.
11/04/2015 Entered vendor bill. Received Invoice EX55 and
shipment from Sales Product Supply for the purchase of office
supplies, Net 30, $875.
11/05/2015 Paid vendor bill. Paid Sales Products Supply the
10/01/2015 $100 opening balance with hand written Check No.
11.
11/05/2015 Paid Big Bytes Supplies, Invoice 89JE, for the
October 4 purchase, $520.00, handwritten Check No. 12
11/06/2015 Paid Big Bytes Supplies, Invoice 98JE, for the
November 4 purchase, $2,625.00, hand-written Check No. 13.
11/07/2015 Paid Sales Products Supply, Invoice EX55, for
the November 4 purchase, $875.00, Check No. 14.
11/18/2015 Created invoice. Sold maintenance services on
account to Two Sisters B&B, Invoice, Net 30, $1,500 for 50
hours of maintenance services at $30 an hour.
11/18/2015 Sold maintenance services on account to
Cyberconnect Cafe, Invoice, Net 30, $1,560 for 52 hours of
maintenance services at $30 an hour.
11/20/2015 Received payments. Received a check from
Cyberconnect Cafe in payment of Invoice, $1,560.00, Check
No. 5110.
11/20/2015 Received a check from Two Sisters B&B in
payment of Invoice, $1,500.00. Check No. 221.
11/21/2015 Entered sales receipt. Cash sales $2,300,
payment received by Check No. 802 for 46 hours of repair
services at $50 an hour.
11/29/2015 Write Check No. 15 to Comtel from bank
account for the monthly telephone and Internet service,
$270.00.
11/29/2015 Write Check No. 16 to Regional Utilities for
monthly utilities bill, $210.00.
11/29/2015 Write Check No. 17 for a cash dividend to the
sole stockholder (you), $1,000 from checking account.
Previous Balance$5,000.00
7 Deposits (+)$5,155.00
6 Checks (-)$1,480.00
Service Charges (-)10/31/2015$25.00
Ending Balance10/31/2015$8,650.00
10/14300.00
10/17280.00
10/17295.00
10/171050.00
10/19300.00
10/20780.00
10/222150.00
1470.00
2245.00
3300.00
475.00
5125.00
6265.00
10/29
10/29
10/15
10/15
10/17
10/29
REGULAR CHECKING ACCOUNT
October 1 - 31, 2015
DEPOSITS
CHECKS (Asterisk * indicates break in check number sequence)
Previous Balance$8,650.00
4 Deposits (+)5,900.00
6,250.00
Service Charges (-)11/30/201525.00
Ending Balance11/30/2015$8,275.00
11/2540.00
11/181,560.00
11/201,500.00
11/222,300.00
7269.00
8206.00
91,000.00
10385.00
11100.00
12520.00
132,625.00
14875.00
15270.00
11/8
11/8
11/23
REGULAR CHECKING ACCOUNT
November 1 - 30, 2015
DEPOSITS
CHECKS (Asterisk * indicates break in check number sequence)
9 Checks (-)
11/6
11/6
11/2
11/2
11/3
11/4
Part 1 Setting Up Your Company
1. Set Up New Company
Your Name Service Corporation (your first and last name)
2. Set Up the Cash Account
3. Revise the Chart of Accounts
a. Deleting the following accounts
Discounts Shipping, Delivery income Penalties &
Settlements
Promotional Miscellaneous Meals and
Entertainment
Legal & Professional Fees Dues & Subscriptions
Commissions & Fees
Travel Meals Travel Taxes & Licenses
Stationery & Printing All COGS accounts
b. Adding an Account
Computer Equipment with original cost of 6,000 as of
10/1/2012, and depreciation of 1,200 as of 10/1/2015. (check
“track depreciation” to enter depreciation amount)
Your Name Notes Payable account
Depreciation Expense (in other expense)
c. Changing an Account Name
Change Supplies to Computer Supplies
Change Prepaid expenses to Prepaid Insurance
Change Depreciation (Fixed Assets) to Accumulated
Depreciation
Change Opening balance-equity to Paid in Capital
4. Beginning Balance Sheet
Your first and last name Service Corporation
Balance Sheet
October 1, 2015
ASSETS
Current Assets
Checking
$ 5,000.00
Prepaid Insurance
200.00
Total Current Assets
$ 5,200.00
Fixed Assets
Computer Equipment
$ 6,000.00
Accumulated Depreciation
(1200.00)
Total Fixed Assets
4800.00
Total Assets
$ 10,000.00
LIABILITIES & STOCKHOLDERS' EQUITY
Liabilities
Your Name Notes Payable
$ 2,000.00
Total Liabilities
$ 2,000.00
Stockholders' Equity
Common Stock
$ 1,000.00
Paid in Capital
7000.00
Retained Earnings
0.00
$ 8,000.00
Total Liabilities & Equity
$ 10,000.00
Part 2 Setting Accounting Defaults
1. Set Up Customers
a. Michelle Valkenburgh
Company: Two Sisters B&B
Address: 10 Main Street, Dordrecht, FL 33606
Opening balance: 300.00 as of 10/1/2015
Preferred Method: Check
Terms: Net 30
b. Nick Nedeau
Company: Cyberconnect Cafe
Address: 20 Main Street, Dordrecht, FL 32606
Opening balance: 280.00 as of 10/1/2015
Preferred Method: Check
Terms: Net 30
c. Accountant
Company: NFP Access
Address: 30 Polder Street, Hague, FL 32603
Opening balance: 295.00 as of 10/1/2015
Preferred Method: Check
Terms: Net 30
2. Set Up Products & Services
Name and Description
Rate per Hour
Account
Maintenance Service
$ 30.00
Services
New Service
$ 100.00
Services
Repair Service
$ 50.00
Services
Emergency Service
$ 200.00
Services
3. Set Up Vendors
a. Alice Lake
Company: Big Bytes Supplies
Address: 100 Gator Lane, Swamp, FL 32611
Terms: Net 30
Opening balance: 520.00 as of 10/1/2015
b. Alberta Santa Fe
Company: Sales Products Supply
Address: 32 University Drive, Swamp, FL 32611
Terms: Net 30
Opening balance: 100.00 as of 10/1/2015

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Part 3 October TransactionsVendor Transactions Enter BillsPur.docx

  • 1. Part 3 October Transactions Vendor Transactions: Enter Bills Purchases of Supplies: Enter Bills Date Transaction 10/02/2015 Received Invoice 66JE and shipment from Big Bytes Supplies for the purchase of computer supplies that included the purchase of USB drives on credit, Net. 30, $300. 10/03/2015 Received invoice EX32 and shipment from Sales Products Supply for the purchase of office expenses that included the purchase of paper, printer cartridges, and message pads on credit, terms Net 30, $245. 10/04/2015 Received Invoice 89JE and shipment from Big Bytes Supplies for the purchase of computer supplies that include the purchase of computer supplies that included the purchase of memory cartridges and memory sticks on credit, terms Net 30, $520. 10/05/2015 Received Invoice EX45 and shipment from Sales Products Supply for the credit purchase of office expenses that included the purchases of office supplies, Net 30, $385. Purchase Returns: Enter Vendor Credits Date Transaction 10/05/2015 Returned 1 USB drive to Big Bytes Supplies, Invoice 66JE, $50. Vendor Payments: Pay Bills Date Transaction 10/06/2015 Paid Big Bytes Supplies’ $520 opening balance by hand-writing a check (#1) for $470 and applying the October 5 vendor credit for $50. (Hint: Your business’ opening balance was $520. On October 5, you returned USB drives for a $50 credit. The balance owed to Big Bytes Supplies after the return is $470, excluding any purchases made during October.) 10/07/2015 Paid Big Bytes Supplies, Invoice 66JE, $300 for the October 4 purchase with check number 2. 10/07/2015 Paid Sales Products Supply, Invoice EX32, $245
  • 2. for the October 3 purchase with check number 3. Customer Transactions: Create Invoice Date Transactions 10/08/2015 Sold services on account to Two Sisters B&B, Invoice No. 1004 for $1,200 which included 12 hours new services at $100 per hour due to the instillation of a wireless network. 10/09/2015 Sold maintenance services on account to NFP Access, Invoice No. 1005, for a total of $300 for 10 hours of maintenance work at $30 per hour. 10/10/2015 Sold Services on account to Cyberconnect Café, Invoice No. 1006, $780 for 6 hours of maintenance services at $30 per hour and 12 hours of repair services at $50 per hour. 10/11/2015 Sold services on account to Two Sisters B&B, Invoice 1007, $540 for 8 hours of maintenance services at $30 per hour and 1.5 hours of emergency services at $200 per hour. Sales Returns and Allowances: Give Credit or Refund Date Transactions 10/13/2015 Two Sisters B&B received a $150 reduction in their October 8 Invoice (#1004) due to damage done to a wall during the wireless network installation. (This is numbered Credit Memo 1008.) Receipts From Customers: Receive Customer Payments Date Transaction 10/13/2015 Received a check from Two sisters B&B in payment of their opening balance, $300.00, Check No. 9290. 10/16/2015 Received a check from Cyberconnect Café in payment of their opening balance, $280.00, Check No. 4522. 10/16/2015 Received a check from NFP Access in payment of their opening balance, $295.00, Check No. 816. 10/16/2015 Received a $1,050 check from Two Sisters B&B in payment of October 7 invoice, less the October 13 credit memo, Check No. 9346. 10/18/2015 Received a $300 check from NFP Access in payment of October 9 Invoice, Check No. 901. 10/19/2015 Received a $780 check from Cyberconnect Café
  • 3. in payment of October 10 Invoice, Check No. 5001. 10/19/2015 Received a $540 check from Two Sisters B&B in payment of October 11 Invoice, Check No. 9401. Cash Transactions Cash Sales: Enter Sales Receipt Date Transaction 10/20/2015 Cash sales of various repairs, $2,150, received check No. 801. Cash Payments: Write Checks Date Transaction 10/21/2015 Issued Check No. 4 to Johnathan Brent, a new vendor, for repairs, $75. Use the “Repair & Maintenance” expense account. 10/21/2015 Issued Check No. 5 to the Sun News, a new vendor, for advertising, $125. Use the “advertising” expense account. 10/21/2015 Issued Check No. 6 to Santa Fe Rentals, a new vendor, for equipment rental, $265. Use the “Rent or Lease” expense account. 10/22/2015 Issued Check No. 7 to Comtel, a new vendor, for the monthly telephone and Internet service, $269. Use the “Office expense” account. 10/30/2015 Issued Check No. 8 to Regional Utilities, a new vendor, for monthly utilities bill, $206. Use the “Utilities” expense account. 10/30/2015 Issued Check No. 9 to the sole stockholder in payment of a $1,000 cash dividend. Since you are the sole stockholder in your corporation, type your first and last name after “Pay to the order of”, then Dividends in the account field. November Transactions Date Transaction 11/02/2015 Paid vendor bill. Issued Check No. 10 to the
  • 4. Sales Products Supply in payment of Invoice EX45, $385. 11/04/2015 Entered vendor bill. Received Invoice 98JE and shipment from Big Bytes Supplies for the purchase of computer supplies, Net 30, $2,625. 11/04/2015 Entered vendor bill. Received Invoice EX55 and shipment from Sales Product Supply for the purchase of office supplies, Net 30, $875. 11/05/2015 Paid vendor bill. Paid Sales Products Supply the 10/01/2015 $100 opening balance with hand written Check No. 11. 11/05/2015 Paid Big Bytes Supplies, Invoice 89JE, for the October 4 purchase, $520.00, handwritten Check No. 12 11/06/2015 Paid Big Bytes Supplies, Invoice 98JE, for the November 4 purchase, $2,625.00, hand-written Check No. 13. 11/07/2015 Paid Sales Products Supply, Invoice EX55, for the November 4 purchase, $875.00, Check No. 14. 11/18/2015 Created invoice. Sold maintenance services on account to Two Sisters B&B, Invoice, Net 30, $1,500 for 50 hours of maintenance services at $30 an hour. 11/18/2015 Sold maintenance services on account to Cyberconnect Cafe, Invoice, Net 30, $1,560 for 52 hours of maintenance services at $30 an hour. 11/20/2015 Received payments. Received a check from Cyberconnect Cafe in payment of Invoice, $1,560.00, Check No. 5110. 11/20/2015 Received a check from Two Sisters B&B in payment of Invoice, $1,500.00. Check No. 221. 11/21/2015 Entered sales receipt. Cash sales $2,300, payment received by Check No. 802 for 46 hours of repair services at $50 an hour. 11/29/2015 Write Check No. 15 to Comtel from bank account for the monthly telephone and Internet service, $270.00. 11/29/2015 Write Check No. 16 to Regional Utilities for monthly utilities bill, $210.00. 11/29/2015 Write Check No. 17 for a cash dividend to the
  • 5. sole stockholder (you), $1,000 from checking account. Previous Balance$5,000.00 7 Deposits (+)$5,155.00 6 Checks (-)$1,480.00 Service Charges (-)10/31/2015$25.00 Ending Balance10/31/2015$8,650.00 10/14300.00 10/17280.00 10/17295.00 10/171050.00 10/19300.00 10/20780.00 10/222150.00 1470.00 2245.00 3300.00 475.00 5125.00 6265.00 10/29 10/29
  • 6. 10/15 10/15 10/17 10/29 REGULAR CHECKING ACCOUNT October 1 - 31, 2015 DEPOSITS CHECKS (Asterisk * indicates break in check number sequence) Previous Balance$8,650.00 4 Deposits (+)5,900.00 6,250.00 Service Charges (-)11/30/201525.00 Ending Balance11/30/2015$8,275.00 11/2540.00 11/181,560.00 11/201,500.00 11/222,300.00 7269.00 8206.00 91,000.00 10385.00 11100.00 12520.00 132,625.00 14875.00
  • 7. 15270.00 11/8 11/8 11/23 REGULAR CHECKING ACCOUNT November 1 - 30, 2015 DEPOSITS CHECKS (Asterisk * indicates break in check number sequence) 9 Checks (-) 11/6 11/6 11/2 11/2 11/3 11/4
  • 8. Part 1 Setting Up Your Company 1. Set Up New Company Your Name Service Corporation (your first and last name) 2. Set Up the Cash Account 3. Revise the Chart of Accounts a. Deleting the following accounts Discounts Shipping, Delivery income Penalties & Settlements Promotional Miscellaneous Meals and Entertainment Legal & Professional Fees Dues & Subscriptions Commissions & Fees Travel Meals Travel Taxes & Licenses Stationery & Printing All COGS accounts b. Adding an Account Computer Equipment with original cost of 6,000 as of 10/1/2012, and depreciation of 1,200 as of 10/1/2015. (check “track depreciation” to enter depreciation amount) Your Name Notes Payable account Depreciation Expense (in other expense) c. Changing an Account Name Change Supplies to Computer Supplies Change Prepaid expenses to Prepaid Insurance Change Depreciation (Fixed Assets) to Accumulated Depreciation Change Opening balance-equity to Paid in Capital 4. Beginning Balance Sheet Your first and last name Service Corporation Balance Sheet
  • 9. October 1, 2015 ASSETS Current Assets Checking $ 5,000.00 Prepaid Insurance 200.00 Total Current Assets $ 5,200.00 Fixed Assets Computer Equipment $ 6,000.00 Accumulated Depreciation (1200.00) Total Fixed Assets 4800.00 Total Assets $ 10,000.00 LIABILITIES & STOCKHOLDERS' EQUITY Liabilities Your Name Notes Payable $ 2,000.00
  • 10. Total Liabilities $ 2,000.00 Stockholders' Equity Common Stock $ 1,000.00 Paid in Capital 7000.00 Retained Earnings 0.00 $ 8,000.00 Total Liabilities & Equity $ 10,000.00 Part 2 Setting Accounting Defaults 1. Set Up Customers a. Michelle Valkenburgh Company: Two Sisters B&B Address: 10 Main Street, Dordrecht, FL 33606 Opening balance: 300.00 as of 10/1/2015 Preferred Method: Check Terms: Net 30 b. Nick Nedeau Company: Cyberconnect Cafe Address: 20 Main Street, Dordrecht, FL 32606 Opening balance: 280.00 as of 10/1/2015 Preferred Method: Check Terms: Net 30
  • 11. c. Accountant Company: NFP Access Address: 30 Polder Street, Hague, FL 32603 Opening balance: 295.00 as of 10/1/2015 Preferred Method: Check Terms: Net 30 2. Set Up Products & Services Name and Description Rate per Hour Account Maintenance Service $ 30.00 Services New Service $ 100.00 Services Repair Service $ 50.00 Services Emergency Service $ 200.00 Services 3. Set Up Vendors a. Alice Lake Company: Big Bytes Supplies Address: 100 Gator Lane, Swamp, FL 32611 Terms: Net 30 Opening balance: 520.00 as of 10/1/2015 b. Alberta Santa Fe Company: Sales Products Supply Address: 32 University Drive, Swamp, FL 32611 Terms: Net 30
  • 12. Opening balance: 100.00 as of 10/1/2015