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On January 1, 2020, Sheffield Company purchased 12% bonds having a maturity value of $430,000, for $462,600.36. The bonds pro

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Journal Entries - Sheffield Company
Date Particulars Debit Credit
1-Jan-20 Investment in bond Dr $430,000.00
Premium on bond investment Dr $32,600.36
         To Cash $462,600.36
(To record investment in bond)
Schedule of Interest revenue and Bond Premium Amortization
Date Cash Received Interest revenue Premium Amortized Carrying amount of bonds
1-Jan-20 $462,600.36
1-Jan-21 $51,600.00 $46,260.04 $5,339.96 $457,260.40
1-Jan-22 $51,600.00 $45,726.04 $5,873.96 $451,386.44
1-Jan-23 $51,600.00 $45,138.64 $6,461.36 $444,925.08
1-Jan-24 $51,600.00 $44,492.51 $7,107.49 $437,817.59
1-Jan-25 $51,600.00 $43,782.41 $7,817.59 $430,000.00
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