Prepare journal entries to record the following transactions.
December 2 Purchased supplies for $1,280 cash.
December 3 Purchased additional supplies for $380 on credit.
December 4 Completed work for a client and immediately received $980 cash.
December 8 Billed a customer $1,780 for services provided.
December 10 Paid $380 cash for the supplies purchased on credit on December 3.
December 14 Paid $1,040 cash for the premium on an insurance policy providing coverage over the upcoming year.
December 18 Received $1,780 cash for the work completed on December 8.
December 30 Paid $255 cash for the December utilities bills.
December 30 Received $2,080 cash in advance from a client for services to be performed next year.
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Journal entry worksheet
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Purchased supplies for $1,280 cash.
Note: Enter debits before credits.
Dels
December 02
General Journal
Debit
Credit
Record entry
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