3A Accounting Exam
Summary of Statements and Forms within the Practical Application Section of the
Final Exam
Adjusting Entries:
- 8-Column Worksheet Transactions within a General Journal and/or General Ledger
Accounts Receivable Application:
- Subsidiary Accounts Receivable Ledger Fees Earned Journal Cash Receipts Journal
Schedule of Accounts Receivable
- Transactions within a General Journal and/or General Ledger
Accounts Payable Application:
- Subsidiary Accounts Payable Ledger Cash Payments Journal Accounts Payable Ledger, and
Schedule of Accounts Payable, Trial Balance Transactions within a General Journal and/or General Ledger
Petty Cash and Banking Applications:
- Petty Cash Summary; Bank Reconciliation Statement , and Cash Flow Statement
Introducing Concepts for a Merchandising Firm:
- Income Statement for a merchandising firm; Transactions within a General Journal and/or General Ledger
The Accounting Cycle for a Merchandising Business:
- Sales Journal; Purchases Journal; Cash Receipts Journal; Cash Payments Journal;
Accounts Receivable Ledger; Accounts Payable Ledger; special transactions within a General Journal and/or General Ledger.
Accounting for Special Items:
- Transactions within a General Journal and/or General Ledger
Expanding the Accounting of Adjusting Entries:
- Transactions within a General Journal and/or General Ledger