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Accounting

This document is a Grade 9 Accounting Monthly Test for Edexcel, dated November 2021, prepared for Lyceum International Schools. It includes multiple-choice questions, practical accounting tasks, and instructions for answering, covering topics such as petty cash management, discounts, and cash book transactions. The test is designed to assess students' understanding of fundamental accounting principles and practices.
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0% found this document useful (0 votes)
46 views8 pages

Accounting

This document is a Grade 9 Accounting Monthly Test for Edexcel, dated November 2021, prepared for Lyceum International Schools. It includes multiple-choice questions, practical accounting tasks, and instructions for answering, covering topics such as petty cash management, discounts, and cash book transactions. The test is designed to assess students' understanding of fundamental accounting principles and practices.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd

ADMISSION

NUMBER

MONTHLY TEST - NOVEMBER 2021


GRADE 9 (EDEXCEL)
ACCOUNTING
Duration : 2 periods

READ THESE INSTRUCTIONS FIRST

Answer ALL questions in this section.

Write your answers in the separate papers.

For each MCQ, choose the best answer A, B, C or D and write it, in front of the relevant

question number.

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


1. Soha purchased stationery for her business using her own money.
What is the entry in the business’s books?
Account to be Account to be debited credited
A Cash Stationery
B Equity Stationery
C Stationery Cash
D Stationery Equity
(1 mark)
2. Where should trade discount given to a customer be shown ?
A cash book
B discount allowed account
C invoice
D sales ledger
(1 mark)
3. Cash discount is given when
A Payment is made by cash only
B Purchases are not made on credit
C Payment is made within a previously agreed time period
D Large quantity of goods are purchased
(1 mark)
4. Which of the following is a primary accounting record?
A General ledger B Petty cash book
C Sales ledger D Trial balance
(1 mark)
5. A petty cash book is balanced at the end of each week. The cash float is £100. Petty cash
vouchers for the week total £74.52. How much will be received from the main cashier at
the end of the week?
A £25.48 B £74.52 C £100 D £174.52
(1 mark)
6. A business issues an invoice for stock with a list price of £30,000. The invoice was subject
to a trade discount of 10% and a cash discount of 5%. VAT is charged at 10%. How much
trade discount should be shown on the invoice?
A £2565 B £2850 C £2700 D £3 000
(1 mark)
7. When any entry is made on the both sides of cash book is called as?
A General entry B Double entry
C Compound entry D Contra entry
(1 mark)
Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


8. A company issues check to pay account payable. The effect of the transaction is to
A increase assets and liabilities. B increase assets and decrease liabilities.
C decrease assets and liabilities. D increase assets and stockholder's equity.
(1 mark)
9. Which of the following item is not included in the Cash Book?
A Purchases of $ 10,000 B Sales of $ 5,000
C Received cash for Salman $ 2,000 D Credit sales of $ 22,000
(1 mark)
10. The Cash of a business would change as a result of
A a supplier being paid by check and deposited.
B raw materials being purchased on credit.
C non-current assets being purchased on credit.
D wages being paid in cash.
(1 mark)
11. (a) State two reasons for maintaining a petty cash book.

1. --------------------------------------------------------------------------------------------------------------
--------------------------------------------------------------------------------------------------------------
2. --------------------------------------------------------------------------------------------------------------
--------------------------------------------------------------------------------------------------------------
( 2 marks)

(b) Jonny maintains a petty cash book with a float of $150.


During January 2019 the following petty cash transactions took place.
January Voucher Transaction $
Number
2 101 Purchased postage stamps 11.50
8 102 Paid travel expenses to sales manager 22.50
15 103 Paid John, a trade payable 35.00
22 104 Purchased coffee, tea and sugar 17.75
26 105 Purchased postage stamps 8.50
31 106 Paid cleaner’s 15.00
31 Restored float To be
calculated

Prepare the petty cash book for the month ended 31 January 2019.

Balance the petty cash book on that date and bring the balance down on 1 February 2019.

Use the given format for your answer.

( 11 marks)

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


Accounts
Ledger
$
Travel $
ments $
Refresh
Postage
$
Cleaning
$
Payments
$
Voucher
number
Details

2019
Date
Receipts
$

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


(c) Prepare the cleaning account (use the following format)

Cleaning account

Date Narrative $ Date Narrative $

( 2 marks)

[Total = 15 marks]

12. The P&G LLC record its cash and bank transaction in a three column cash book. The
following transactions were performed by the company during the month of June 2018.
 Jun 01 : Cash in hand $800 (debit balance), Cash at bank $3,365 (debit balance).
 Jun 03 : Paid James & Co. by check $1,175, discount received from him $25.
 Jun 05 : Received from David & Co. a check amounting to $990, discount allowed to
him $10.
 Jun 07: Deposited into bank the check received from David & Co.
 Jun 10: Purchased stationary for cash, $170.
 Jun 15: Purchased merchandise for cash, $1,280.
 Jun 15: Cash sales for the first half of the month, $2,450.
 Jun 16: Deposited into bank $1,250.
 Jun 18: Withdrawn from bank for personal expenses $100.
 Jun 19: Issued a check amounting to $1,630 to James & Co. and discount received from
him $20.
 Jun 21: Drew from bank for office use, $420.
 Jun 24: Received a check amounting to $1,435 from Henry & Co. and allowed him a
discount of $15. The Henry’s check was deposited into bank immediately.
 Jun 25: Paid a check to Jacob Inc. amounting to $385 and received a discount of $15.
 Jun 27: Bought furniture for cash for office use, $380.
 Jun 29: Paid office rent by check, $350.
 Jun 30: Cash sales for the second half of the month $4,550.
 Jun 30: Paid salaries by check $760.
 Jun 30: Withdrew from bank for office use $470.
Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


Required:

(a) Record the above transactions in a three column cash book of P & G LLC and balance

the cash and bank columns of the cash book.

(Use the following for your answer)

(21 marks)

(b) Prepare discount allowed and discount received account

(Use the following for your answer)

(4 marks)

[Total = 25 marks]

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


Cash Book

Date Description Dis. Cash Bank Date Description Dis. Cash Bank

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments


Discount allowed account

Date Narrative $ Date Narrative $

Discount received account

Date Narrative $ Date Narrative $

[Total for the paper = 50]

END

Ref: AP

Grade 9 (Edexcel) Accounting - Monthly Test November 2021

Prepared for Lyceum International Schools by Lyceum Assessments

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