1. Transactions related to revenue and cash receipts completed by Tex Max Inc. during the month of March 2010 are as follows:
Mar. 2. Issued Invoice No. 512 to Browne Co., $820.
4. Received cash from CMI Inc., on account, for $195.
8. Issued Invoice No. 513 to Gabriel Co., $265.
12. Issued Invoice No. 514 to Deacon Inc., $690.
19. Received cash from Deacon Inc., on account, $610.
22. Issued Invoice No. 515 to Electronic Central Inc., $150.
27. Received cash from Marshall Inc. for services provided, $90.
29. Received cash from Browne Co. for invoice of March 2.
31. Received cash from McCleary Co. for services provided, $75.
Prepare a single-column revenue journal and a cash receipts journal to record these transactions. Use the following column headings for the cash receipts journal: Fees Earned Cr., Accounts Receivable Cr., and Cash Dr. Place a check mark (true) in the Post.
Ref. column to indicate when the accounts receivable subsidiary ledger should be posted.