Creating Schedules of Accounts: iCandy, Australasian Edition 3
VerifiedAdded on 2023/05/23
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Practical Assignment
AI Summary
This assignment involves preparing schedules of accounts receivable and accounts payable for iCandy, Australasian Edition 3, as of June 30, 2017. The purpose is to verify that the sum of customer balances in the accounts receivable subsidiary ledger equals the balance of the Accounts Receivable control account in the general ledger, and similarly for accounts payable. The solution provides the schedules with account numbers, names, and balances for both accounts receivable and accounts payable, totaling $51,401 DR and $44,084 CR, respectively. The schedules include specific customer and supplier details, such as Candy Man, Sweet Tooth, Hershel's, and Restlay. The assignment emphasizes the importance of accurate subsidiary ledger maintenance and reconciliation with general ledger control accounts. Desklib offers various resources and solved assignments to aid students in their studies.
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