The correct journal entry for the transaction PAID CASH TO REPAIR OFFICE EQUIPMENT is
Accounting Obj 4 Part 1

Quiz
•
Other
•
12th Grade
•
Medium
Stephen Tharrington
Used 11+ times
FREE Resource
30 questions
Show all answers
1.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
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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