4/23/23, 1:50 PMNWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 1 of 7
2.5 / 5
View Policies
Show Attempt History
Current Attempt in Progress
Your answer is partially correct.
The following are the components in determining cost of goods sold.
Determine the missing amounts.
Beginning
Inventory
(a)
$81,600
(b)
$53,100
(c)
$
Cost of Goods
Available for Sale
Purchases
44,000
$105,300
$
$
186,900
Ending
Inventory
$
Cost of
Goods Sold
$123,000
63,900
132,800
$114,000
$34,300
$
167,100
$120,000
$164,000
$29,000
$
255,000
eTextbook and Media
Save for Later
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/0
Attempts: 3 of 5 used
Submit Answer
1/1
4/23/23, 1:51 PM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 2 of 7
-/5
View Policies
Current Attempt in Progress
The following are the components in Cullumber Company’s income statement.
Determine the missing amounts.
Sales Revenue
(a)
$76,100
(b)
$115,600
(c)
$
Cost of Goods Sold
Gross Profit
$
$36,000
$74,200
$73,100
$
$80,200
Operating Expenses
Net Income
$
$20,700
$
$23,500
$47,000
$
eTextbook and Media
Save for Later
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/1
Attempts: 0 of 5 used
Submit Answer
1/1
4/23/23, 1:52 PM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 4 of 7
4.17 / 5
View Policies
Show Attempt History
Current Attempt in Progress
Prepare the journal entries to record the following transactions on Sandhill Company’s books using a perpetual inventory system.
(a)
Your answer is correct.
On March 2, Sandhill Company sold $845,000 of merchandise on account to Indigo Company, terms 3/10, n/30. The cost of the merchandise sold was $530,000. (List
all debit entries before credit entries. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select “No Entry”
for the account titles and enter 0 for the amounts.)
Account Titles and Explanation
Debit
Accounts Receivable
Credit
845,000
Sales Revenue
845,000
(To record credit sale)
Cost of Goods Sold
530,000
Inventory
530,000
(To record cost of merchandise sold)
eTextbook and Media
List of Accounts
Attempts: 1 of 5 used
(b)
Your answer is correct.
On March 6, Indigo Company returned $84,500 of the merchandise purchased on March 2. The cost of the returned merchandise was $55,700. (List all debit entries
before credit entries. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select “No Entry” for the account
titles and enter 0 for the amounts.)
Account Titles and Explanation
Sales Returns and Allowances
Debit
Credit
84,500
Accounts Receivable
84,500
(To record merchandise returned)
Inventory
55,700
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/3
1/2
4/23/23, 1:52 PM
NWP Assessment Player UI Application
Cost8ofLab
Goods
Sold
Unit
Assignment
55,700
(To record cost of merchandise returned)
Question 4 of 7
4.17 / 5
eTextbook and Media
List of Accounts
Attempts: 1 of 5 used
(c)
Your answer is partially correct.
On March 12, Sandhill Company received the balance due from Indigo Company. (List all debit entries before credit entries. Credit account titles are automatically indented
when amount is entered. Do not indent manually. If no entry is required, select “No Entry” for the account titles and enter 0 for the amounts.)
Account Titles and Explanation
Debit
Credit
Cash
Sales Discounts
Accounts Receivable
eTextbook and Media
List of Accounts
Save for Later
Last saved 1 day ago.
Attempts: 4 of 5 used
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/3
Submit Answer
2/2
4/23/23, 1:52 PM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 5 of 7
4.5 / 5
View Policies
Show Attempt History
Your Answer
Correct Answer (Used)
Sarasota Company has the following account balances: Sales Revenue $242,100, Sales Discounts $3,310, Cost of Goods Sold $117,100, and Inventory $42,900.
Prepare the entries to record the closing of these items to Income Summary under the perpetual inventory system. (List all debit entries before credit entries. Credit account
titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select “No Entry” for the account titles and enter 0 for the amounts.)
Account Titles and Explanation
Sales Revenue
Debit
Credit
242,100
Income Summary
242,100
(To close accounts with credit balances)
Income Summary
Cost of Goods Sold
Sales Discounts
120,410
117,100
3,310
(To close accounts with debit balances)
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/4
1/1
4/22/23, 11:11 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 6 of 7
-/5
View Policies
Current Attempt in Progress
On September 1, Martinez Office Supply had an inventory that included a variety of calculators. The company uses a perpetual inventory system. During September, the
following transactions occurred.
Sept.
6
Purchased calculators from Marin Co. at a total cost of $2,500, terms n/30, FOB shipping point.
9
Paid freight of $100 on calculators purchased from Marin Co.
10
Returned calculators to Marin Co. for $78 cash (including freight) because they did not meet specifications.
12
Sold calculators costing $754 for $986 to Sura Book Store, on account, terms n/30.
14
Granted credit of $34 to Sura Book Store for the return of one calculator that was not ordered. The calculator cost $26.
20
Sold 30 calculators costing $806 for $1,023 on account to Davis Card Shop, on account,terms n/30.
Journalize the September transactions for Martinez Office Supply. (List all debit entries before credit entries. Credit account titles are automatically indented when amount is
entered. Do not indent manually. If no entry is required, select “No Entry” for the account titles and enter 0 for the amounts.)
Date
Account Titles and Explanation
Debit
Credit
(To record credit sale)
(To record cost of merchandise sold)
(To record merchandise returned)
(To record cost of merchandise returned)
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=00669eb4-4152-4fb7-ac01-f83409de2639#/question/5
1/2
4/22/23, 11:11 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 6 of 7
-/5
(To record credit sale)
(To record cost of merchandise sold)
eTextbook and Media
List of Accounts
Save for Later
Attempts: 0 of 5 used
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=00669eb4-4152-4fb7-ac01-f83409de2639#/question/5
Submit Answer
2/2
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 7 of 7
– / 10
View Policies
Current Attempt in Progress
At the beginning of the current season on April 1, the ledger of Indigo’s Discorama showed Cash $1,800, Inventory $2,600, and
Owner’s Capital $4,400. The following transactions were completed during April 2022.
Apr. 5
Purchased golf discs, bags, and other inventory on account from Mumford Co. $1,000, FOB shipping point, terms 2/10,
n/60.
7
Paid freight on the Mumford purchase $40.
9
Received credit from Mumford Co. for merchandise returned $100.
10
Sold merchandise on account for $900, terms n/30. The merchandise sold had a cost of $540.
12
Purchased disc golf shirts and other accessories on account from Saucer Sportswear $590, terms 1/10, n/30.
14
Paid Mumford Co. in full, less discount.
17
Received credit from Saucer Sportswear for merchandise returned $90.
20
Made sales on account for $620, terms n/30. The cost of the merchandise sold was $400.
21
Paid Saucer Sportswear in full, less discount.
27
Granted an allowance to customers for clothing that did not fit $40.
30
Received payments on account from customers $940.
The chart of accounts for the store includes the following: No. 101 Cash, No. 112 Accounts Receivable, No. 120 Inventory, No. 201
Accounts Payable, No. 301 Owner’s Capital, No. 401 Sales Revenue, No. 412 Sales Returns and Allowances, and No. 505 Cost of
Goods Sold.
(a)
Journalize the April transactions using a perpetual inventory system. (List all debit entries before credit entries. Credit account titles
are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.
If no entry is required, select “No Entry” for the account titles and enter 0 for the amounts.)
Date
Account Titles and Explanation
Debit
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
Credit
1/6
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 7 of 7
– / 10
(To record credit sale.)
(To record cost of merchandise sold.)
(To record credit sale.)
(To record cost of merchandise sold.)
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
2/6
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 7 of 7
– / 10
eTextbook and Media
List of Accounts
Attempts: 0 of 5 used
Save for Later
Submit Answer
(b)
Enter the beginning balances in the ledger accounts and post the April transactions. (Post entries in the order of journal entries
presented in the previous part.)
Cash
Date
Explanation
Ref.
Balance
√
Debit
No. 101
Credit
Balance
J1
J1
J1
J1
Accounts Receivable
Date
Explanation
Ref.
Debit
No. 112
Credit
Balance
J1
J1
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
3/6
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
J1
J1
Question 7 of 7
– / 10
Inventory
Date
Explanation
Ref.
Balance
√
Debit
No. 120
Credit
Balance
J1
J1
J1
J1
J1
J1
J1
J1
J1
Accounts Payable
Date
Explanation
Ref.
Debit
No. 201
Credit
Balance
J1
J1
J1
J1
J1
J1
Owner’s Capital
Date
Explanation
Ref.
Debit
No. 301
Credit
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
Balance
4/6
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Balance
Question 7 of 7
Date
√
Sales Revenue
Explanation
Ref.
No. 401
Debit
– / 10
Credit
Balance
J1
J1
Sales Returns and Allowances
Date
Explanation
Ref.
Debit
No. 412
Credit
Balance
J1
Cost of Goods Sold
Date
Explanation
Ref.
No. 505
Debit
Credit
Balance
J1
J1
eTextbook and Media
List of Accounts
Attempts: 0 of 5 used
Save for Later
Submit Answer
(c)
Prepare a trial balance on April 30, 2022. (Do not list those accounts that have zero ending balance.)
INDIGO’S DISCORAMA
Trial Balance
Debit
$
Credit
$
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
5/6
4/23/23, 8:47 AM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 7 of 7
Totals
– / 10
$
$
eTextbook and Media
List of Accounts
Save for Later
Attempts: 0 of 5 used
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=b8523411-0713-4758-9e28-663604bd1d7e#/question/6
Submit Answer
6/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
Question 7 of 7
2.9 / 10
View Policies
Show Attempt History
Current Attempt in Progress
At the beginning of the current season on April 1, the ledger of Indigo’s Discorama showed Cash $1,800, Inventory $2,600, and Owner’s Capital $4,400. The following transactions were completed during April 2022.
Apr. 5
Purchased golf discs, bags, and other inventory on account from Mumford Co. $1,000, FOB shipping point, terms 2/10, n/60.
7
Paid freight on the Mumford purchase $40.
9
Received credit from Mumford Co. for merchandise returned $100.
10
Sold merchandise on account for $900, terms n/30. The merchandise sold had a cost of $540.
12
Purchased disc golf shirts and other accessories on account from Saucer Sportswear $590, terms 1/10, n/30.
14
Paid Mumford Co. in full, less discount.
17
Received credit from Saucer Sportswear for merchandise returned $90.
20
Made sales on account for $620, terms n/30. The cost of the merchandise sold was $400.
21
Paid Saucer Sportswear in full, less discount.
27
Granted an allowance to customers for clothing that did not fit $40.
30
Received payments on account from customers $940.
The chart of accounts for the store includes the following: No. 101 Cash, No. 112 Accounts Receivable, No. 120 Inventory, No. 201 Accounts Payable, No. 301 Owner’s Capital, No. 401 Sales Revenue, No. 412 Sales Returns and Allowances, and No. 505 Cost of Goods
Sold.
(a)
Your answer is partially correct.
Journalize the April transactions using a perpetual inventory system. (List all debit entries before credit entries. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem. If no
entry is required, select “No Entry” for the account titles and enter 0 for the amounts.)
Date
Apr. 5
Account Titles and Explanation
Inventory
Debit
Credit
1,000
Accounts Payable
Apr. 7
Inventory
1,000
40
Cash
Apr. 9
Accounts Payable
Inventory
40
100
100
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
1/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
Accounts Receivable
10 Assignment
UnitApr.
8 Lab
900
Sales Revenue
Question 7 of 7
900
2.9 / 10
(To record credit sale.)
Apr. 10
Cost of Goods Sold
540
Inventory
540
(To record cost of merchandise sold.)
Apr. 12
Inventory
Apr. 14
Apr. 17
590
Accounts Payable
590
Accounts Payable
980
Cash
960
Inventory
20
Accounts Receivable
90
Cash
Apr. 20
Accounts Receivable
90
620
Sales Revenue
620
(To record credit sale.)
Apr. 20
Cost of Goods Sold
400
Inventory
400
(To record cost of merchandise sold.)
Apr. 21
Accounts Payable
Cash
Apr. 27
Sales Returns and Allowances
581.10
581.10
40
Accounts Receivable
Apr. 30
Cash
Accounts Receivable
40
940
940
eTextbook and Media
List of Accounts
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
Assistance Used
2/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
Payable
UnitAccounts
8 Lab Assignment
Accounts Receivable
Question 7 of 7
Accumulated Depreciation-Buildings
2.9 / 10
Accumulated Depreciation-Equipment
Advertising Expense
Buildings
Cash
Casuality Loss from Vandalism
Cost of Goods Sold
Depreciation Expense
Dividend Revenue
Equipment
Freight-In
Freight-Out
Income Summary
Insurance Expense
Interest Expense
Interest Payable
Interest Revenue
Inventory
Land
Loss on Disposal of Plant Assets
Maintenance and Repairs Expense
Notes Payable
Operating Expenses
Owner’s Capital
Owner’s Drawings
Prepaid Insurance
Property Tax Expense
Property Taxes Payable
Purchase Discounts
Purchase Returns and Allowances
Purchases
Rent Expense
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
3/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
and Wages Expense
UnitSalaries
8 Lab Assignment
Salaries and Wages Payable
Question 7 of 7
2.9 / 10
Sales Commissions Expense
Sales Commissions Payable
Sales Discounts
Sales Returns and Allowances
Sales Revenue
Supplies
Supplies Expense
Unearned Service Revenue
Utilities Expense
Attempts: 2 of 5 used
Save for Later
Submit Answer
(b)
Enter the beginning balances in the ledger accounts and post the April transactions. (Post entries in the order of journal entries presented in the previous part.)
Cash
Debit
No. 101
Date
Explanation
Ref.
Credit
Balance
Apr. 7
Balance
√
40
40
1,860
Apr. 14
J1
960
960
2,820
Apr. 21
J1
581.10
581.10
2,238.90
J1
J1
Accounts Receivable
Date
Explanation
Ref.
Debit
No. 112
Credit
Balance
Apr. 10
J1
900
900
1,800
Apr. 20
J1
620
620
2,420
Apr. 27
J1
40
Apr. 30
J1
940
3,320
Inventory
Date
Explanation
Ref.
Apr. 5
Balance
√
Debit
No. 120
Credit
Balance
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
4/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
9 Assignment
UnitApr.
8 Lab
J1
Question 7 of 7
Apr. 10
J1
Apr. 12
J1
Apr. 17
J1
Apr. 20
J1
2.9 / 10
J1
J1
J1
J1
Accounts Payable
Date
Explanation
Ref.
Debit
No. 201
Credit
Balance
Credit
Balance
Credit
Balance
Credit
Balance
J1
J1
J1
J1
J1
J1
Owner’s Capital
Date
Explanation
Ref.
Balance
√
Explanation
Ref.
Debit
No. 301
Sales Revenue
Date
Debit
No. 401
J1
J1
Sales Returns and Allowances
Date
Explanation
Ref.
Debit
No. 412
J1
Cost of Goods Sold
Date
Explanation
Ref.
Debit
No. 505
Credit
Balance
J1
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
5/6
4/23/23, 1:55 PM
NWP Assessment Player UI Application
Unit 8 Lab Assignment
J1
Question
7 of 7
eTextbook and Media
2.9 / 10
List of Accounts
Save for Later
Last saved 1 second ago.
Attempts: 0 of 5 used
Submit Answer
Attempts: 0 of 5 used
Submit Answer
(c)
Prepare a trial balance on April 30, 2022. (Do not list those accounts that have zero ending balance.)
INDIGO’S DISCORAMA
Trial Balance
Debit
Credit
$
Totals
$
$
$
eTextbook and Media
List of Accounts
Save for Later
https://education.wiley.com/was/ui/v2/assessment-player/index.html?launchId=8cbd632b-ab3b-45c6-b14d-e13b6e03de54#/question/6
6/6