Write up the accounts in the appropriate journal and ledgers for the following transactions, and balance off the accounts Bill Crosby
Sep 1 started business with 800 in the bank
4 bought goods 300 on credit from S&S Wholesale
5 transfer 150 from bank to cash.
9 paid for insurance 30 by cash
15 sold goods 400 on credit to Suga Roy
18 goods for 50 returned from Suga Roy
19 paid office expenses 80 by cash
22 took 60 by cheque for personal use
25 sold goods 300 on credit to Dean Peart
26 bought goods 150 on credit from Amazon.com
27 received cheque 300 from Suga Roy
28 paid S & S Wholesale 200 by cheque
29 sold good 100 by cash