BANGISMAIYAYIEN BANGISMAIYAYIEN Anglais résolu Record the following transactions for the month of January, balance off all the accounts and then extract a trial balance as at 31/12/2000:June 1 started business with #3500 cashJune 2 bought goods for cash #150June 3 put #2800 of the cash into a bank account.June 4 bought goods on credit from Lekan #360, Bolade #490, Ade #110, Sola #340June 5 bought stationary on credit from Seyinde #170June 6 sold goods on credit to; Wale #90, Banji #490, and sani #1600June 8 cash sales #900June 9 paid rent by cheque #55June 10 paid salaries in cash #120June 11 bought fixture on credit from Musa #480June 12 returned goods to Bolade #90, Ade #50, Sola #40June 15 bought motor van by cheque #700June 16 received loan from Gayu by cheque #600June 18 received #500 cash from SaniJune 20 we paid the following by cheque; Bolade #400, Ade #60June 24 cash sale #90June 25 banked cash #200June 26 good returned to us; Wale #30, Banji #60June 29 received cheque from; Wale #60, Banji #400June 30 paid motor expenses in cash #10REQUIRED;1. preparation of the cash book. 2. Posting of items from cash book to the ledgers. 3. preparation of day books/ journal. 4. Preparation of other ledger. ​