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26 May, 07:34

The May transactions of Concord Corporation were as follows. May 4 Paid $860 due for supplies previously purchased on account. 7 Performed advisory services on account for $7,490. 8 Purchased supplies for $840 on account. 9 Purchased equipment for $1,940 in cash. 17 Paid employees $500 in cash. 22 Received bill for equipment repairs of $810. 29 Paid $1,190 for 12 months of insurance policy. Coverage begins June 1. Journalize the transactions

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  1. 26 May, 09:55
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    May 4

    Debit Accounts Payable $860

    Credit Bank/Cash account $860

    Being entries to record payment for supplies purchased previously on Account

    May 7

    Debit Accounts Receivable $7,490

    Credit Service revenue $7,490

    Being entries to recognize service revenue made on accounts

    May 8

    Debit Supplies account $840

    Credit Accounts Payable $840

    Being entries to recognize supplies purchased on account

    May 9

    Debit Fixed assets account $1,940

    Credit Cash account $1,940

    Being entries to record equipment purchased with cash

    May 17

    Debit Salaries expense $500

    Credit Cash account $500

    Being entries to record payment of salaries

    May 22

    Debit Maintenance and repairs $810

    Credit Accounts Payable $810

    Being entries to recognize repairs expense

    May 29

    Debit Prepaid Insurance $1,190

    Credit Cash account $1,190

    Being entries to recognize advance payment for insurance

    Explanation:

    To purchase items on account is to purchase on credit. This creates a liability in the form of accounts payable. An increase in assets or expenses is a debit entry while a decrease is a credit entry. For liability or an income, a credit is an increase while a debit is a decrease.
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