BOOK OF PRIME ENTRY

Journals

Journal is a French word meaning “Daily Record”. It is used to record transactions initially before the businessman forgets the exact details needed to post into the respective ledger.

The journal is sometimes called the book of prime entry, subsidiary book, or book of original entry, where entries are made prior to their posting to the respective ledger.

Types of Journal

Types of books of prime entry include:

  • Purchases journal/Day book
  • Purchases return journal
  • Sales journal
  • Sales return journal
  • Cash book
  • Journal proper

Types of Ledger

There are three main types of ledger where entries or transactions are posted from the books of prime entry:

  • Purchases ledger
  • Sales ledger
  • General ledger

Purchases Journal

This book is used to record daily purchases on credit only before posting to the ledger.

When goods are purchased on credit, the seller sends an invoice to the buyer.

Invoice: A document issued by the seller containing all information concerning the goods purchased or sold.

The individual entries in the purchase day book are immediately posted to the credit of the suppliers’ or creditors’ accounts in the purchases ledger, while the total of the purchases journal is posted to the debit of the purchases account in the general ledger, usually on the last day of the month.

Purchases Journal Format

DATEPARTICULARFINVOICE DETAILINVOICE TOTAL

Example

Record the following business transactions in the purchases journal:

  • 1st July bought on credit from Ketena Ltd:
    • 20 bags of sugar each 15,000
    • 15 bags of wheat flour each 8,000
  • 10th July bought on credit from Salehe:
    • 20 dozen exercise books each 1,600
    • 2 cartons of duplicating paper 24,000
  • 14th July bought goods on credit from Jengua worth 27,000
  • 25th July bought on credit from Kiharusi:
    • 10 pairs of shoes each 12,000
    • 14 boxes of shoe polish 7,000

Solution

Purchases Journal

DATEPARTICULARSFINVOICE DETAILSINVOICE TOTAL
1st July KATEME LTD
20 bags of sugar @ 15,000
15 bags of wheat flour @ 8,000
300,000
120,000
10th July SALEHE
20 dozen exercise books @ 1,600
2 cartons of duplicating paper @ 24,000
32,000
48,000
14th July JENGUA
Goods worth 27,000
27,000
25th July KIHARUSI
10 pairs of shoes each @ 12,000
14 boxes of shoe polish @ 7,000
120,000
98,000
Total732,000

Transferred to purchases A/C Dr. in the general ledger.

Exercise 1

Record the following business transactions in a purchases journal. Show the total credit purchases at the end of the month.

  • 1st April bought on credit from WAZO HILI LTD:
    • 50 bags of cement each 7,000
    • 25 sheets of asbestos each 4,600
  • 11th April bought from Aluminium African Ltd:
    • 250 coecoqetid icon sheets each 2,500
    • 160 icon beans each 1,800
  • 20th April bought from YEMEN ENTERPRISES goods worth 189,000
  • 24th April bought on credit from KANUTI goods worth 320,000
  • 30th April bought on credit from MNANDI:
    • 50 copies of civics books each 1,400
    • 20 dozen of writing pads each 150

Exercise 2

Enter the following transactions in MLA WATU purchases day book and post to the ledger.

  • 1st Nov bought from Shah Stores:
    • 5 dining tables with chairs @ Tshs. 600
    • 5 side tables @ Tshs. 300
  • 5th Nov purchases from Mzigo store:
    • 100 pairs of kanga @ Tshs. 107
    • 50 pairs of Vitenge @ Tshs. 107
  • 10th Nov bought from Wajamaa traders:
    • 10 bags of white sugar @ Tshs 575
    • 25 bags of yellow beans @ Tshs 600
  • 15th Nov bought from Lipangila traders:
    • 30 beds @ Tshs 450
    • 40 spring mattresses @ Tshs. 500
  • 20th Nov bought from Kuleana traders:
    • 3 boxes of juice flavour @ Tshs. 640
    • 6 boxes of straw @ Tshs. 190
    • 40 boxes of glasses @ Tshs. 1600

Solution QN2

MLAWATU’S PURCHASES DAY BOOK

DATEPARTICULARSFINVOICE DETAILSINVOICE TOTAL
1st Nov SHAH STORE
5 dining tables with chairs @ 600
5 side tables @ 300
3,000
1,500
5th Nov MZIGO STORES
100 pairs of kanga @ 107
50 pairs of Vitenge @ 107
10,700
5,350
10th Nov WAJAMAA TRADERS
10 bags of white sugar @ 575
25 bags of yellow beans @ 600
5,750
15,000
15th Nov LIPANGILA TRADERS
30 beds @ 450
40 spring mattresses @ 500
13,500
20,000
20th Nov KULEANA TRADERS
3 boxes of juice flavour @ 640
6 boxes of straw @ 190
40 boxes of glasses @ 1,600
1,920
1,140
64,000
Total141,860

Transferred to purchases A/C Dr. in the General ledger.

Purchases Ledger

DR SHAH STORES A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
1st NovPurchases4,500

DR MZIGO STORES A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
5th NovPurchases16,050

DR WAJAMAA TRADERS A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
10th NovPurchases20,750

DR KULEANA TRADERS A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
20th NovPurchases67,060

Exercise 3

Enter the following business transactions in the purchases journal of Kasime then post to the ledger accounts.

  • 7th Sept bought from KITUNGUU:
    • 6 dozen of shoes each 2,100
    • 10 dozen of socks each 500
  • 18th Sept bought goods on credit from KANYAMA TRADERS worth 6,000
  • 28th Sept bought on credit from BABAJE TRADERS:
    • 10 dozen of mathematical sets each 3,000
    • 36 mathematics books each 2,000

Exercise 4

Kabila enterprises made the following purchases during the month of January 2000.

ecolebooks.com
  • 1st Jan bought from Kilombero:
    • 100 bags of sugar 50kg at Tshs. 8,000 each
    • 50 bags of sugar 25kg at Tshs. 4,000 each
  • 5th Jan bought from Matatu shop:
    • 100 boxes of cooking fat @ Tshs 650
    • 20 boxes of cooking fat @ Tshs 700
  • 10th Jan bought from Moshi traders:
    • 100 pairs of raincoat at 120 each
    • 60 pairs of rain boots at 430 each
  • 15th Jan bought from Mombasa Stores:
    • 99 bags of salt 100kg at 450 each
    • 25 bags of maize flour 10kg at 550 each
  • 20th Jan purchases from Vijana enterprises:
    • 69 bags of sulphate ammonium 50kg at 850 each
    • 102 bags of urea 10kg at 102 each
  • 25th Jan bought from Bahari beach Hotel:
    • 25 used record players at 1,500 each
    • 50 used televisions at 6,000 each

Enter the above transactions to Kabila purchases day book and open the respective ledgers as well as General ledger.

Solution QN3

KASIME’S PURCHASES JOURNAL

DATEPARTICULARSFINVOICE DETAILSINVOICE TOTAL
7th Sept KITUNGUU
6 dozen of shoes @ 2,100
10 dozen of socks @ 500
17,600
18th Sept KANYAMA TRADERS
Goods worth 6,000
6,000
28th Sept BABAJE TRADERS
10 dozen of mathematical sets @ 3,000
36 mathematics books @ 2,000
72,000

Transferred to purchases A/C Dr. General ledger.

Purchases Ledger

DR KITUNGUU A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
7th SeptPurchases17,600

DR KINYAMA TRADERS A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
18th SeptPurchases6,000

DR BABAJE TRADERS A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
28th SeptPurchases72,000

DR KASIME’S PURCHASES JOURNAL

DATEPARTICULARSFINVOICE DETAILSINVOICE TOTAL
1st Jan KILOMBERO
100 bags of sugar 50kg @ 8,000
50 bags of sugar 25kg @ 4,000
800,000
200,000
5th Jan MATATU SHOPS
100 boxes of cooking fat @ 650
20 boxes of cooking fat @ 700
65,000
14,000
10th Jan MOSHI TRADER
100 pairs of raincoat @ 120
60 pairs of rain boots @ 430
12,000
25,800
15th Jan MOMBASA STORES
99 bags of salt 100kg @ 450
25 bags of maize flour 10kg @ 550
44,550
13,750
20th Jan VIJANA ENTERPRISES
69 bags of sulphate ammonium 50kg @ 850
102 bags of urea 10kg @ 102
58,650
10,404
25th Jan BAHARI BEACH HOTEL
25 used record players @ 1,500
50 used televisions @ 6,000
37,500
300,000
Total1,401,654

Purchases Ledgers

DR KILOMBERO A/C CR

DATEDETAILSFAMOUNTDATEDETAILSFAMOUNT
1st JanPurchases1,000,000

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