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Journalizing and Posting Transactions Flashcards

7 cards from real CPB / BookKeeping practice questions. Tap to flip, then mark Knew It or Still Learning — missed cards come back until you master them.

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  1. If a $200 utility bill is paid in cash but recorded as a debit to Accounts Payable and credit to Cash, the error will cause:

    Answer: Accounts Payable to be overstated and Utilities Expense understated

    Debiting Accounts Payable instead of Utilities Expense leaves Accounts Payable incorrectly reduced and Utilities Expense not recorded at all.

  2. A transposition error occurs when:

    Answer: Digits within a number are reversed (e.g., $459 written as $495)

    A transposition error reverses the order of digits in a number, such as writing $459 as $495, and is often detectable because the difference is divisible by 9.

  3. When equipment worth $5,000 is purchased by paying $2,000 cash and financing the rest on account, the journal entry includes:

    Answer: Debit Equipment $5,000, Credit Cash $2,000 and Credit Accounts Payable $3,000

    The full cost of the equipment ($5,000) is debited, with partial payment from Cash ($2,000) and the balance owed to Accounts Payable ($3,000).

  4. The folio column in a general journal serves what purpose?

    Answer: Contains the account numbers used as cross-references to the ledger

    The folio (or posting reference) column in the journal holds ledger account numbers, linking each journal line to its ledger account.

  5. A business receives $600 in advance for services not yet performed. This is recorded as:

    Answer: Debit Cash, Credit Unearned Revenue

    Cash received before earning it creates Unearned Revenue, a liability, because the business still owes the service to the customer.

  6. Which of the following would NOT appear in a standard general journal entry?

    Answer: Current account balances after posting

    General journal entries include the date, accounts, amounts, and a description, but do NOT show running account balances — that information is in the ledger.

  7. If total debits in the trial balance do not equal total credits, the bookkeeper should first:

    Answer: Re-add the debit and credit columns of the trial balance

    The first step is to re-add the trial balance columns to rule out a simple arithmetic error before investigating further.