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Health Fashions

SALES JOURNAL Page


For the month ended 30 Nov 2017

SALE POST. ACCTS. REC. SALES


ACCOUNT DEBITED
DATE NO. REF. DEBIT CREDIT
2017

1 Nov 2 Paulson Medical Center S589 140 2,171.94 2,049.00


2 4 Central Medical Clinic S590 110 735.64 694.00
3 7 Mason College S591 130 1,648.00 1,648.00
4 9 Trannon Emergency Center S592 150 877.68 828.00
5 19 Fairview Hospital S593 120 2,064.88 1,948.00
6 25 Central Medical Clinic S594 110 3,690.92 3,482.00
7 30 Totals 11,189.06 10,649.00
8 (1130) (4110)
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10-1
SALES TAX
PAYABLE CR.
10-1

122.94 1 10-1
41.64 2 10-1
0.00 3 10-1
49.68 4 10-1
116.88 5 10-1
208.92 6 10-1 debit 11,189.06
540.06 7 10-2 credit 11,189.06
(2120) 8 10-2

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Health Fashions
CASH RECEIPTS JOURNAL
For the month ended 30 Nov 2017

DOC. POST. GENERAL


ACCOUNT TITLE
DATE NO. REF. DEBIT CREDIT
2017
1 Nov 6 Paulson Medical Center R568 110

2 7 TS41
3 8 Mason College R569 130

4 14 TS42
5 16 Trannon Emergency Center R570 150

6 21 TS43
7 28 Central Medical Clinic R571 110

8 30 Totals

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10-3

Page 11 10-3

10-3

ACCTS. REC. SALES SALES TAX SALES CASH


CREDIT CREDIT PAYABLE CR. DISCOUNT DR. DEBIT
10-3

1,547.15 30.94 1,516.21 1 10-3


3,480.00 208.80 3,688.80 2 10-3
679.19 13.58 665.61 3 10-3
2,940.00 176.40 3,116.40 4 10-3
2,184.14 2,184.14 5 10-3
2,875.00 172.50 3,047.50 6 10-3
1,648.96 1,648.96 7 10-3
6,059.44 9,295.00 557.70 44.52 15,867.62 8 10-4
(1130) (4110) (2120) (4120) (1110) 9 10-4

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CUSTOMER Central Medical Clinic CUSTOMER NO.

POST.
ITEM DEBIT CREDIT
DATE REF.

2017

1 Nov. 1 Balance
2 4 SJ11 735.64
3 25 SJ11 3,690.92
4 28 CRJ11 1,648.96
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110

DEBIT

BALANCE

1,648.96 1
2,384.60 2
6,075.52 3
4,426.56 4
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CUSTOMER Fairview Hospital CUSTOMER NO.

POST.
ITEM DEBIT CREDIT
DATE REF.

2017

1 Nov. 1 Balance
2 19 SJ11 2,064.88
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120

DEBIT

BALANCE

4,218.19 1
6,283.07 2 10-2
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CUSTOMER Mason College CUSTOMER NO.

POST.
ITEM DEBIT CREDIT
DATE REF.

2017

1 Nov. 1 Balance
2 7 SJ11 1,648.00
3 8 CRJ11 679.19
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130

DEBIT

BALANCE

679.19 1
2,327.19 2 10-2
1,648.00 3 10-4
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CUSTOMER Paulson Medical Centre CUSTOMER NO.

POST.
ITEM DEBIT CREDIT
DATE REF.

2017

1 Nov. 1 Balance
2 2 SJ11 2,171.94
3 6 CRJ11 1,547.15
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140

DEBIT

BALANCE

1,547.15 1
3,719.09 2 10-2
2,171.94 3 10-4
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CUSTOMER Trannon Emergency Centre CUSTOMER NO.

POST.
ITEM DEBIT CREDIT
DATE REF.

2017

1 Nov. 1 Balance
2 9 SJ11 877.68
3 16 CRJ11 2,184.14
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150

DEBIT

BALANCE

2,184.14 1
3,061.82 2 10-2
877.68 3 10-4
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ACCOUNT Cash ACCOUNT NO. 1110
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 Nov. 1 Balance 16,489.36 1

2 30 CP11 14,474.63 2,014.73 2

3 30 CRJ11 15,867.62 17,882.35 3 10-4


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ACCOUNT Accounts Receivable ACCOUNT NO. 1130
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 Nov. 1 Balance 10,277.63 1

2 30 SJ11 11,189.06 21,466.69 2 10-2


3 30 CRJ11 6,059.44 15,407.25 3 10-4
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ACCOUNT Sales Tax Payable ACCOUNT NO. 2120
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 Nov. 1 Balance 945.18 1
2 30 SJ11 540.06 1,485.24 2 10-2
3 30 CRJ11 557.70 2,042.94 3 10-4
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ACCOUNT Sales ACCOUNT NO. 4110
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 Nov. 1 Balance 194,735.26 1
2 30 SJ11 10,649.00 205,384.26 2 10-2
3 30 CRJ11 9,295.00 214,679.26 3 10-4
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ACCOUNT Sales Discount ACCOUNT NO. 4120
POST. BALANCE
ITEM DEBIT CREDIT
DATE REF. DEBIT CREDIT
2017
1 Nov. 1 Balance 418.19 1

2 30 CRJ11 44.52 462.71 2 10-4


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Health Fashions 10-4

SCHEDULE OF ACCOUNTS RECEIVABLE

30th Nov 2017 10-4

1 Central Medical Clinic 4,426.56 1 10-4

2 Fairview Hospital 6,283.07 2 10-4

3 Mason College 1,648.00 3 10-4

4 Paulson Medical Centre 2,171.94 4 10-4

5 Trannon Emergency Centre 877.68 5 10-4

6 Totals 15,407.25 6 10-4

7 7

8 8
Acct Receivable = 15,407.25

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