Accounting 2 – 3/12/18
I. Bellwork P 294-295 Q&A
- Provide 3 reports a POS terminal can provide to assist management decisions
- Summarize what information is provided on a Batch report
II. Objectives
- Record cash and credit card sales using a cash receipts journal.
- Journalize cash receipts on account using a cash receipts journal.
- Outline procedures for Journalizing Cash and Credit Card Sales using a sequence map
III. Discussion
10-3 Accounting for Cash and Credit Card Sales 294-301
- Processing Sales Transactions
- Processing Credit Cards
- Cash Receipts journal
- Cash and Credit Card Sales
- Cash Receipts on Account
- Calculating Cash Receipts on Account with Sales Discount
- Journalizing Cash Receipts on Account with Sales Discounts
IV. Notebook
- Sequence Map Page 297 – Journalizing Cash and Credit Card Sales
V. Classwork
10-3Working Together & On Your Own P301
On Aplia – 10-3 Working Together & On Your Own
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