Accounting Obj 4 Part 1

Accounting Obj 4 Part 1

12th Grade

30 Qs

quiz-placeholder

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Accounting Obj 4 Part 1

Accounting Obj 4 Part 1

Assessment

Quiz

Other

12th Grade

Practice Problem

Medium

Created by

Stephen Tharrington

Used 15+ times

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30 questions

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1.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The correct journal entry for the transaction PAID CASH TO REPAIR OFFICE EQUIPMENT is

debit Cash and credit Miscellaneous Expense

debit Cash and credit Repair Expense

debit Miscellaneous Expense and credit Cash

debit Repair Expense and credit Cash

2.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The correct journal entry for the transaction RECEIVED CASH ON ACCOUNT FROM BILL'S LIMOS is:

debit Accounts Receivable/Bill's Limos and credit Cash

debit Accounts Receivable/Bill's Limos and credit Jane Smith, Capital

debit Cash and credit Accounts Receivable/Bill's Limos

debit Cash and credit Jane Smith, Capital

3.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The transaction RECEIVED A CHECK FOR LEGAL FEES would result in the journal entry:

debit Cash and credit Legal Fees-Expense

debit Cash and credit Legal Fees-Revenue

debit Legal Fees-Expense and credit Cash

debit Miscellaneous Expense and credit Legal Fees-Revenue

4.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The correct journal entry for the transaction PAID THE TELEPHONE BILL is:

debit Equipment and credit Cash

debit Telephone Expense and credit Cash

debit Cash and credit Equipment

debit Cash and credit Telephone Expense

5.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Bill James discovered that a transaction for Utilities Expense was journalized and posted in error as a debit to Repair Expense, $250. The entry to correct the error is:

debit Cash, $250; debit Utilities Expense, $250

debit Utilities Expense, $250; credit Cash, $250

debit Utilities Expense, $250; credit Repairs Expense, $250

debit Repair Expense, $250; credit Utilities Expense, $250

6.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The correct journal entry for the transaction PAID CASH ON ACCOUNT TO VENDOR JONES SUPPLY is:

debit Supplies and credit Cash

debit Cash and credit Accounts Payable/Jones Supply

debit Accounts Payable/Jones Supply and credit Cash

debit Cash and credit Accounts Receivable/Jones Supply

7.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

The correct journal entry for the transaction PAID CASH FOR A DELIVERY(MISCELLANEOUS EXPENSE), is:

debit Supplies and credit Miscellaneous Expense

debit Miscellaneous Expense and credit Cash

debit Cash and credit Miscellaneous Expense

debit Cash and credit Truck Expense

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