Question
1. PROJECT SCENARIO You will act as the owner of a company called A-Z Computer Repair You will complete the month of June Journal Entries
1.PROJECT SCENARIO
You will act as the owner of a company called A-Z Computer Repair
You will complete the month of June Journal Entries (J/E's) for the transactions listed below
After completing the J/E's, you will finish worksheet that includes:
oAdjusting Journal Entries
oFinancial Statement preparation
oPosting Closing Journal Entries and preparing Post-Closing Trial Balance
The Chart of Accounts for your company is listed below and its lists all of accounts used by A-Z Computer Repair.Again, read the "2.PROJECT INSTRUCTIONS" listed below to get started.
2.PROJECT INSTUCTIONS
A.Journalize the Transactions for the month of June, 2019, beginning on page J 1.
i.Be sure and list the Debit Account(s) first; Credit Account(s) next.Be sure and depict brief explanation / description for each transaction.
B.Write the name of the owner (you!) on the Capital and Drawing accounts in the General Ledger
C.Based on the General Journal entries you make for the Transactions below, Post the Journal Entries (J/Es) to the general ledger accounts.Be sure and use the Post Reference #s for each posting
D.Prepare the Trial Balance section of the Worksheet within the "Worksheet" tab
i.The Trial Balance and the Adjusted Trial Balance on the worksheet are self-correcting.
ii.If you get an error message, the number you are entering in the current cell is incorrect for that cell. Please review the input information for that cell and try again.
E.Prepare the General Journal (GJ) Adjustments section of the worksheet base on the following information:
i.Compute and record the adjustment for supplies used during the month.An inventory showed supplies on hand of $645.
ii.Record the adjustment for depreciation of Office Equipment of $42 for the month.
iii.Record the adjustment for depreciation of Electric Sign of $120 for the month.
F.Complete the Worksheet within the "Worksheet" tab
G.Prepare the Income Statement for the month, Statement of Owner's Equity, and a Balance Sheet, which are found in the "Financial Statement" tab
H.Journalize and postthe Adjusting and Closing entries. (About half students forget, and it is worth about 25% of grade)
I.setout a Post- Closing Trial Balance.
J.Complete the "Audit Report" document that you downloaded from the Canvas Modules section, and submit the following completed files in Canvas:
i."Project Workbook - A-Z Computer Repair"
ii."Project Audit Report"
A - Z COMPUTER REPAIR CHART OF ACCOUNTS
ASSETS
101 - Cash
113 - Supplies
115 - Computer Software
117 - Office Equipment
118 - Accumulated Depreciation (Office Equipment)
120 - Electric Sign
121 - Accumulated Depreciation (Electric Sign)
LIABILITIES
201 - Accounts Payable
REVENUE
411 - Income from Repair
EXPENSES
511 - Advertising Expense
512 - Rent Expense
513 - Supplies Expense
514 - Utilities Expense
515 - Wages Expense
516 - Miscellaneous Expense
517 - Depreciation Expense (Office Equipment)
518 - Depreciation Expense (Electric Sign)
OWNER'S EQUITY
311 - (insert your name here),Capital
312 - (insert your name here),Drawing
330 - Income Summary
The following lists all transactions A-Z COMPUTER REPAIR made during June:
June1 You deposited $19,250 cash in a bank account in the name of the business.
3 Bought office equipment from XYZ Office Mart for cash, $685, Ck. #1000, Invoice #2375.
5 Bought computer software from Flash Computer Center, $760, putting $500 down and putting the balance on account, Ck. #1001, Invoice #244.
6 Paid current month's rent, $1,075 Ck. #1002.
7 Performed services for cash, $2,240.
10 Bought an electric sign from Bright Light Signs, $1,675, putting $725 down, and placing the balance on account, Ck. #1003, Inv. #6172.
12 Received a bill from The Times Reviewfor advertising, $775, Inv. TR198.
13 Bought supplies on account from XYZ Office Mart, $1,550, Inv. #2425.
15 Received and paid the electric bill, $387, Ck. #1004.
20 Paid on account to The Times Review, $775, Ck. #1005, Inv. #TR198.
21 Performed services for cash, $1,742.
25 Paid sales clerk's wages, $857, Ck. #1006.
27 You invested your personal computer (Office Equipment) in the business with a fair market value of $1,425.
29 You withdrew cash for personal use, $640, Ck. #1007.
30 Received and paid the bill for the city business license, $150, Ck. #1008, (Miscellaneous Expense).
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