I received this take home assignment and I need help with it The adco Manufacturing company. Instructions: You have been given journals Purchases journal, Sales Journal, Cash receipts journal, Cash payments journal, regular journal Record the transactions in the appropriate journal. The terms of all sales on account are FOB shipping point. Problem : April Issued check # for April rent, $ April Purchased Merchandise on account from the Sloan Company, $ April Purchased equipment on account from the Long Equipment company, $ April Issued invoice # to Mr James Owl for $ for the sale merchandise. April Received a credit memo from the Sloan Company for defective merchandise returned to them, $ April Received a check for $ from Kentucky Fried Chicken company in payment of $ invoice, less discount. April Issued invoice # to the price company in amount of $ April Issued check # in payment of miscellaneous selling expenses $ April Issued check # for $ to Allans Supply company in payment of $balance less discount. April Received a check from Norbert Corporation on account $ no discount. April Issued check # to the Hatchers company in payment of invoice of $ no discount. April Received a check from Mr James Owl on account $ no discount. April Issued check # to Wade company in payment of account $ no discount. April Issued invoice # to Kentucky Fried Chicken cumpany in amount of $ April Issued check # for $ to the Sloan company in payment of $ balance less discount. April Issued check # for $ for cash purchse of merchandise. April Cash sales for April $ April Issued credit memo to Kentucky fried chicken company for damaged merchandise, $ Problem : A For individual items that are to be posted to the subsidiary ledger insert a check mark in the posting reference colomn. B For individual items and totals to be posted to the general ledger, insert the letter G as a subtitute for specific account numbers in the posting reference colomn or below where the totals would appear. C For items that will not be posted individually and for totals that will not be posted place a check in the posting reference column or below where the totals would appear. This is introduction to accounting and we do everything on paper we do not use any software.