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Post the appropriate entries from JDC Engineering transactions to a General Ledger. For "Post Ref." enter J1.

Journal
DateDescriptionDebitCredit
March 2Cash14,000
March 2   Joe Coors, Capital14,000
March 4Utilities Expense535
March 4   Cash535
March 8Equipment2,400
March 8   Accounts Payable2,400
March 11Accounts Receivable3,200
March 11   Service Revenue3,200
March 15Cash6,900
March 15   Notes Payable6,900
March 19Joe Coors, Drawing740
March 19   Cash740
March 24Office Supplies860
March 24   Cash860
March 28Accounts Payable2,400
March 28   Cash2,400

 

JDC Engineering
CashAccount No. 110
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Accounts ReceivableAccount No. 120
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Office SuppliesAccount No. 130
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

EquipmentAccount No. 140
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Accounts PayableAccount No. 210
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Notes PayableAccount No. 220
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Joe Coors, CapitalAccount No. 310
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Joe Coors, DrawingAccount No. 330
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Service RevenueAccount No. 410
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Utilities ExpenseAccount No. 510
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit

Supplies ExpenseAccount No. 520
Balance
Date: MarchItemPost Ref.DebitCreditDebitCredit