Cash Disbursements Journal report


Cash Disbursements Journal
12/1/05 To 12/31/05
  Date ID # Acct # Account Name Debit Credit Job No.

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CD 12/1/05 Gasoline          
    3 1-1100 Checking Account   $100.00  
    3 6-1200 Car & Truck Expenses $100.00    

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CD 12/2/05 Advice on Software          
    4 1-1100 Checking Account   $178.90  
    4 6-2000 Legal & Professional $178.90   01

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CD 12/2/05 Monthly Insurance          
    5 1-1100 Checking Account   $45.00  
    5 6-1800 Insurance (other than health) $45.00    

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CD 12/2/05 Payment; Supply Co.          
    2 1-1100 Checking Account   $5,000.00  
    2 2-1200 Accounts Payable $5,000.00    

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        Grand Total: $5,323.90 $5,323.90