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4) Journalize the following adjusting entries: A) Ed determines that he was $250 worth of supplies still on hand. B) One month of insurance was

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4) Journalize the following adjusting entries: A) Ed determines that he was $250 worth of supplies still on hand. B) One month of insurance was been used C) The depreciation on our office equipment is $250. D) Our part-time employee has camed $20 so for this week. He will be paid next month for the full week's work. 5) Post the adjusting entries. 6) Prepare an adjusted trial balance. Prepare an Income Statement, Statement of Owner's Equity and a Classified Balance Sheet. 8) Journalize the closing entries. 9) Post the closing entries. 10) Prepare a post-closing trial balance ED'S BOOKKEEPING SERVICE CHART OF ACCOUNTS 101 Cash 102 Petty Cash 108 Accounts Receivable 112 Office Supplies 118 Prepaid Insurance 201 Office Equipment 202 Accumulated Depreciation Office Equipment 301 Accounts Payable 308 Wapes Payable 511 Ed Richardson, Capital 512 Ed Richardson, Drawing 513 Income Summary 611 Professional Fees 810 Advertising Expense 815 Depreciation Expense 820 Insurance Expense 825 Miscellaneous Expense 830 Office Supplies Expense 835 Rent Expense 840 Utilities Expense 845 Wages Expense INTRODUCTION TO ACCOUNTING PROJECT SPRING SEMESTER, 2020 During the month of October of the current year, Id's Accounting Service was opened. The following transactions occurred. Chet! dimested $20,000 to start the business Oct! Ed purchased 9.500 worth of office equipment on account from Rhodes Supply OctFaraid October's rent on an office. He wrote a check for $1.500 Oct 2 durchased $400 worth of office supplies for cash. Ost The telephone wis installed. We paid $75 (Utilities Expense) Oct 4 d placed an advertisement in the Anoka County Shopper It cost SSO (cash) Oct 4 Bd Marted a petty cash fund with $40 for a fund balance. Oct 5 Shaa's Automotive Supply Company paid us $2.500 for setting up their books. Octs A six-month umbrella insurance policy was purchased for $630 (cash). Oct 7 We purchased for cash) $45 worth of stamps (Miscellaneous Expense) Oct 9 We earned $3,200 from Kwan's Fine Furniture Company for setting up their books. They will pay us later. Oct 12 We paid a part-time employee 570 for running errands. There are no taxes to be withheld. Oct 14 Peterson's Food Service, Inc. paid us $1,400 for helping them with their taxes. The actual bill was for $3.000. They will pay us the rest next month. Oct 19 We paid our part-time employee Soo for running errands. There are no taxes to be withheld. Oct 23 We sent a check for $1,000 to Rhoades' Supply for the office equipment purchased on October 1st. Oct 26 We earned $700 for consulting with Yang's Clothing Outlet. They will pay us Oct 26 We paid our part-time employee $30 for running errands. There are no taxes to be withheld Oct 30 Kwan's Fine Furniture Company paid us $900 on account for the work we did for them on October 9. Oct 30 Ed withdrew $200 for personal use. Oct 31 Ed paid the electric bill which was $60. Oct 31 Ed replenished the petty cash fund. He had used $12 for office supplies, 58 for miscellaneous expenses and S15 for personal reasons. REQUIRED: Be sure to use asset accounts instead of expense accounts whenever possible. 2) Post the transactions to the ledger (Use T- Accounts.) 3) Prepare a trial balance as of October 31 of the current year. 4) Journalize the following adjusting entries: A) Ed determines that he was $250 worth of supplies still on hand. B) One month of insurance was been used C) The depreciation on our office equipment is $250. D) Our part-time employee has camed $20 so for this week. He will be paid next month for the full week's work. 5) Post the adjusting entries. 6) Prepare an adjusted trial balance. Prepare an Income Statement, Statement of Owner's Equity and a Classified Balance Sheet. 8) Journalize the closing entries. 9) Post the closing entries. 10) Prepare a post-closing trial balance ED'S BOOKKEEPING SERVICE CHART OF ACCOUNTS 101 Cash 102 Petty Cash 108 Accounts Receivable 112 Office Supplies 118 Prepaid Insurance 201 Office Equipment 202 Accumulated Depreciation Office Equipment 301 Accounts Payable 308 Wapes Payable 511 Ed Richardson, Capital 512 Ed Richardson, Drawing 513 Income Summary 611 Professional Fees 810 Advertising Expense 815 Depreciation Expense 820 Insurance Expense 825 Miscellaneous Expense 830 Office Supplies Expense 835 Rent Expense 840 Utilities Expense 845 Wages Expense INTRODUCTION TO ACCOUNTING PROJECT SPRING SEMESTER, 2020 During the month of October of the current year, Id's Accounting Service was opened. The following transactions occurred. Chet! dimested $20,000 to start the business Oct! Ed purchased 9.500 worth of office equipment on account from Rhodes Supply OctFaraid October's rent on an office. He wrote a check for $1.500 Oct 2 durchased $400 worth of office supplies for cash. Ost The telephone wis installed. We paid $75 (Utilities Expense) Oct 4 d placed an advertisement in the Anoka County Shopper It cost SSO (cash) Oct 4 Bd Marted a petty cash fund with $40 for a fund balance. Oct 5 Shaa's Automotive Supply Company paid us $2.500 for setting up their books. Octs A six-month umbrella insurance policy was purchased for $630 (cash). Oct 7 We purchased for cash) $45 worth of stamps (Miscellaneous Expense) Oct 9 We earned $3,200 from Kwan's Fine Furniture Company for setting up their books. They will pay us later. Oct 12 We paid a part-time employee 570 for running errands. There are no taxes to be withheld. Oct 14 Peterson's Food Service, Inc. paid us $1,400 for helping them with their taxes. The actual bill was for $3.000. They will pay us the rest next month. Oct 19 We paid our part-time employee Soo for running errands. There are no taxes to be withheld. Oct 23 We sent a check for $1,000 to Rhoades' Supply for the office equipment purchased on October 1st. Oct 26 We earned $700 for consulting with Yang's Clothing Outlet. They will pay us Oct 26 We paid our part-time employee $30 for running errands. There are no taxes to be withheld Oct 30 Kwan's Fine Furniture Company paid us $900 on account for the work we did for them on October 9. Oct 30 Ed withdrew $200 for personal use. Oct 31 Ed paid the electric bill which was $60. Oct 31 Ed replenished the petty cash fund. He had used $12 for office supplies, 58 for miscellaneous expenses and S15 for personal reasons. REQUIRED: Be sure to use asset accounts instead of expense accounts whenever possible. 2) Post the transactions to the ledger (Use T- Accounts.) 3) Prepare a trial balance as of October 31 of the current year

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