Question
1.) Prepare an Income Statement, Statement of Owners Equity, and a Balance Sheet as of July 31, 2014, Journalize and post the closing entries, Prepare
1.) Prepare an Income Statement, Statement of Owners Equity, and a Balance Sheet as of July 31, 2014, Journalize and post the closing entries, Prepare a Post-Closing Trial Balance
Journal entries
Date | Description | Debit | Credit |
July 1 | Cash | $4,000 | |
To Chris Browns capital | $4,000 | ||
Office rent expense | $1800 | ||
To cash | $1800 | ||
Prepaid insurance | $2,700 | ||
To cash | $2,700 | ||
July 2 | Cash | $1250 | |
To A/c receivable | $1250 | ||
July 3 | cash | $7,200 | |
to unearned revenue | $7,200 | ||
July 3 | A/c payable | $250 | |
To cash | $250 | ||
July 4 | Legal expense | $800 | |
To cash | $800 | ||
July 5 | Office equipment | $6000 | |
To A/c payable | $6000 | ||
July 8 | Advertisement expense | $200 | |
To Cash | $200 | ||
July 11 | Cash | $900 | |
to fees earned | $900 | ||
July 13 | Equipment rental expense | $600 | |
To cash | $600 | ||
July 14 | Wages expense | $1200 | |
To cash | $1200 | ||
July 16 | Cash | $1200 | |
To fees earned | $1200 | ||
July 18 | Office supplies a/c | $1080 | |
To a/c payable | $1080 | ||
July 21 | Utilities expense | $620 | |
To cash | $620 | ||
July 22 | Advertising expense | $800 | |
To cash | $800 | ||
July 23 | Cash | $750 | |
A/c receivable | $1750 | ||
To fees earned | $2500 | ||
July 23 | Utility expense | $760 | |
To cash | $760 | ||
July 28 | Wages & expense | $1200 | |
To cash | $1200 | ||
July 29 | Miscellaneous expense | $370 | |
To cash | $370 | ||
July 30 | Cash | $400 | |
A/c receivable | $1400 | ||
To fees earned | $1800 | ||
July 31 | Cash | $2800 | |
To fees earned | $2800 | ||
July 31 | Music expense | $1400 | |
To cash | $1400 | ||
July 31 | Drawings | $1500 | |
To cash | $1500 | ||
Unadjusted trial balance
Debit | Credit | |
Cash | $9610 | |
A/c receivable | $3150 | |
Supplies | $1250 | |
Prepaid insurance | $2700 | |
Office equipment | $6000 | |
Accumulated dep | ||
A/c payable | 7080 | |
unearned revenue | 7200 | |
Chris browns capital | 9000 | |
Drawings | 2000 | |
fees earned | 15,850 | |
wage expense | 2800 | |
office rent expense | 2550 | |
Equipment rental expense | 1300 | |
music expense | 2990 | |
Advertisement expense | 1450 | |
supplies expense | 180 | |
legal expense | ||
misc. expense | 670 | |
Utility expense | 1680 | |
total | $39,130 | $39130 |
Adjusting entries
A/c receivable | $1600 | |
to unearned revenue | $1600 | |
Supplies expense | $850 | |
To Supplies | $850 | |
insurance expense | $225 | |
to Prepaid rent | $225 | |
Depreciation expense | $75 | |
To Accumulated dep | $75 | |
Unearned revenue | $3600 | |
To Fees earned | $3600 | |
Wages expense | $170 | |
To wages payable | $170 | |
Adjusted trial balance
Debit | Credit | |
Cash | $9610 | |
A/c receivable | $4750 | |
Supplies | $400 | |
Prepaid insurance | $2475 | |
Office equipment | $6000 | |
Accumulated dep | 75 | |
A/c payable | 7080 | |
unearned revenue | 5200 | |
Chris browns capital | 9000 | |
Drawings | 2000 | |
fees earned | 19,450 | |
wage expense | 2970 | |
office rent expense | 2550 | |
Equipment rental expense | 1300 | |
music expense | 2990 | |
Advertisement expense | 1450 | |
supplies expense | 1030 | |
legal expense | 800 | |
misc. expense | 670 | |
Utility expense | 1680 | |
Wages payable | 170 | |
insurance expense | 225 | |
Depreciation expense | 75 | |
total | 40975 | 40975 |
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