Unit 7
Accounting and Finance Foundations Unit 7: Financial Statements 607
Financial Statements
Chapter 18
Student Guide
2.3.9Lesson 18.7 Review of the Accounting Cycle:
Putting it all Together (cont’d)
Page____
General Journal
Date Account^
Number
Description of Transaction Debit Credit
1 12/01/20YY 110 Cash $30,000.00
2 310 Capital, Mrs. King $30,000.00
3 Deposit to open business account.
4 12/05/20YY 130 Supplies $2,500.00
5 210 Accounts Payable $2,500.00
6 Bought glass shelves for displays.
7 12/07/20YY 130 Supplies $400.00
8 110 Cash $400.00
9 Bought supplies with cash.
10 12/07/20YY 110 Cash $3,000.00
11 410 Revenue, Design Services $3,000.00
12 Received payment for designing services.
13 12/09/20YY 120 Accounts Receivable $5,000.00
14 410 Revenue, Design Services $5,000.00
15 Received payment on account for designing
services.
16 12/15/20YY 510 Rent Expense $500.00
17 110 Cash $500.00
18 Rent payment for December.
19 12/20/20YY 210 Accounts Payable $1,000.00
20 110 Cash $1,000.00
21 Payable to Displays Inc. on account.
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