1 On April 1, Jiro Nozomi created a new travel agency, Adventure Travel. The following transactions occurred during the company's first month. Apr. 1 Nozomi invested $30,eee cash and computer equipment worth $20,eee in the company. Apr. 2 The company rented furnished office space by paying $1,800 cash for the first month's (April) ants rent. 3 The company purchased $1, eee of office supplies for cash. Apr. Apr. 10 The company paid $2,400 cash for the premium on a 12-month insurance policy. Coverage begins on eBook April 11. Print Apr. 14 The company paid $1,600 cash for two weeks salaries earned by employees. Apr. 24 The company collected $8,eee cash for commissions earned. Apr. 28 The company paid $1,600 cash for two weeks' salaries earned by employees. Apr. 29 The company paid $350 cash for minor repairs to the company's computer. Apr. 30 The company paid $750 cash for this month's telephone bill. Apr. 30 Nozomi withdrew $1,s0e cash from the company for personal use. References Information for month-end adjustments follows: a. Prepaid insurance of $133 has expired this month b. At the end of the month, $600 of office supplies are still available. c. This month's depreciation on the computer equipment is $500 d. Employees earned $420 of unpaid and unrecorded salaries as of month-end e. The company earned $1750 of commissions that are not yet billed at month end. General General Income Requirement St Owners Trial Balance Balance Sheet Post Closird Journal Ledger Statement Equity Prepare the required journal entries, adjusting entries, and closing entries for Adventure Travel. General Journal General Income Statement St Owners Requirement Trial Balance Balance Sheet Post Closing Ledger Equity Prepare the required journal entries, adjusting entries, and closing entries for Adventure Travel. View transaction list Journal entry worksheet 12 13 14 15 16 17 18 19 Record the entry to close the revenue account(s). Note: Enter debits before credits. Date Account Title Debit Credit Apr 30 General Ledger General Journal Income St Owners Post Closing Requirement Trial Balance Balance Sheet Statement Equity Prepare the required journal entries, adjusting entries, and closing entries for Adventure Travel. View transaction list Journal entry worksheet 12 13 14 15 16 17 18 19 Record the entry to close the expense account(s). Note: Enter debits before credits. Date Account Title Debit Credit Apr 30 A g 111 Review Problem i Saved General Journal General Income St Owners Requirement Trial Balance Balance Sheet Post Closing Ledger Statement Equity Prepare the required journal entries, adjusting entries, and closing entries for Adventure Travel. View transaction list Book Print Journal entry worksheet erences 12 13 15 16 14 17 18 19 Record the entry to close income summary. Note: Enter debits before credits Date Account Title Debit Credit Apr 30 No journal entry required St Owners General Income General Journal Post Closing Balance Sheet Trial Balance Requirement Equity Statement Ledger Prepare the required journal entries, adjusting entries, and closing entries for Adventure Travel. View transaction list Journal entry worksheet 12 13 14