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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
540.06 7 10-2
(2120) 8 10-2
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Health Fashion
CASH RECEIPTS JOURNAL
For the month ended 30th November 2017
DOC. POST. GENERAL
ACCOUNT TITLE
DATE NO. REF. DEBIT CREDIT
2017
1 Nov 6 Paulson Medical Clinic R568 140
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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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 CR11 1,648.96
5
10
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110
DEBIT
BALANCE
1,648.96 1
2,384.60 2
6,075.52 3
4,426.56 4
5
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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
3
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120
DEBIT
BALANCE
4,218.19 1
6,283.07 2 10-2
3
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12
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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 CR11 679.19
4
10
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13
14
15
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17
18
19
20
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22
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130
DEBIT
BALANCE
679.19 1
2,327.19 2 10-2
1,648.00 3 10-4
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 CR11 1,547.15
4
10
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13
14
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16
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18
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20
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22
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140
DEBIT
BALANCE
1,547.15 1
3,719.09 2 10-2
2,171.94 3 10-4
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 CR11 2,184.14
4
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150
DEBIT
BALANCE
2,184.14 1
3,061.82 2 10-2
877.68 3 10-4
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
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6 6
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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
5 5
6 6
7 7
8 8
9 9
10 10
11 11
12 12
13 13
14 14
15 15
16 16
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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 CR11 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 CR11 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
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Health Fashion 10-4
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