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Access Computing, Inc. Unadjusted Trial Balance December 31, 2016 Credits Debits 171,000 20,000 4,000 9,000 15.000 0 Account title Cash Accounts Receivable Supplies Prepaid Insurance

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Access Computing, Inc. Unadjusted Trial Balance December 31, 2016 Credits Debits 171,000 20,000 4,000 9,000 15.000 0 Account title Cash Accounts Receivable Supplies Prepaid Insurance Computer Equipment Accumulated depreciation-comp. equi Accounts Payable Wages Payable Unearned Revenue Common Stock Retained Earnings Revenue Depreciation Expense Insurance Expense Supplies Expense Wages Expense 3.000 200,000 10,000 27,000 21,000 Totals 240,000 240,000 Noah B Access Computing Adjusting entries Practice Problem Using the unadjusted Trial Balance from Access computing and the following information, prepare the necessary adjusting entries for Access Computing, Inc at 12/31/2016. 1) The count of supplies on hand at 12/31/16 was $1,500. Please adjust the supplies account to actual. 2) The entire uneamed revenue balance was eamed at 12/31/2016 3) Employees have earned 5 days wages at 12/31/2016. The wages will not be paid until 2017 Daily payroll is $100 per day. 4) At 12/31/2016, $1200 of work had been completed but the customer will not pay us until 2017. 5) The computer equipment that was purchased on 12/1 for $15,000 has a 5 year useful life and a $3,000 salvage value. Record December (1 month) depreciation. 6) Adjust the prepaid insurance account for the expired insurance. The insurance was originally purchased on 12/1/16 for $9,000. It was for an 18 month policy covering from 12/1/16- 5/31/18 Required: Record the adjusting entries for items 1-6 above. Post the adjusting entries to the Taccounts and get balances in the accounts. Prepare an adjusted trial balance Use the adjusted trial balance prepare the income statement, statement of retained earnings and Balance Sheet Name. Acceso Computing, ane. DR CR DR ER Bal 20,000 4 DRFOR Bagi mereka Cash 100) Accounts Recente Supplies (10) Prepaid Iolcha Computer. Special WY DR/ch Bol 190,000 DR CR (200) Accumulate Depression 8 Accounts Payable competips De CR Luegos Pamable ( (205) Del Unearned Record Commanho 300 ) 200,000 BC ) ( 6oo) Retaindeanings Renen Renegal too) Depuciations yonce 120,000 Bal 10,ooo Bal Supplies Expense (605) Insurance lippe. Wagen Expertens BeleR Bals 20,00 Income Summary 19 (900 ) DR CR a jak Access Computing, Inc. Unadjusted Trial Balance December 31, 2016 Credits Debits 171,000 20,000 4,000 9,000 15.000 0 Account title Cash Accounts Receivable Supplies Prepaid Insurance Computer Equipment Accumulated depreciation-comp. equi Accounts Payable Wages Payable Unearned Revenue Common Stock Retained Earnings Revenue Depreciation Expense Insurance Expense Supplies Expense Wages Expense 3.000 200,000 10,000 27,000 21,000 Totals 240,000 240,000 Noah B Access Computing Adjusting entries Practice Problem Using the unadjusted Trial Balance from Access computing and the following information, prepare the necessary adjusting entries for Access Computing, Inc at 12/31/2016. 1) The count of supplies on hand at 12/31/16 was $1,500. Please adjust the supplies account to actual. 2) The entire uneamed revenue balance was eamed at 12/31/2016 3) Employees have earned 5 days wages at 12/31/2016. The wages will not be paid until 2017 Daily payroll is $100 per day. 4) At 12/31/2016, $1200 of work had been completed but the customer will not pay us until 2017. 5) The computer equipment that was purchased on 12/1 for $15,000 has a 5 year useful life and a $3,000 salvage value. Record December (1 month) depreciation. 6) Adjust the prepaid insurance account for the expired insurance. The insurance was originally purchased on 12/1/16 for $9,000. It was for an 18 month policy covering from 12/1/16- 5/31/18 Required: Record the adjusting entries for items 1-6 above. Post the adjusting entries to the Taccounts and get balances in the accounts. Prepare an adjusted trial balance Use the adjusted trial balance prepare the income statement, statement of retained earnings and Balance Sheet Name. Acceso Computing, ane. DR CR DR ER Bal 20,000 4 DRFOR Bagi mereka Cash 100) Accounts Recente Supplies (10) Prepaid Iolcha Computer. Special WY DR/ch Bol 190,000 DR CR (200) Accumulate Depression 8 Accounts Payable competips De CR Luegos Pamable ( (205) Del Unearned Record Commanho 300 ) 200,000 BC ) ( 6oo) Retaindeanings Renen Renegal too) Depuciations yonce 120,000 Bal 10,ooo Bal Supplies Expense (605) Insurance lippe. Wagen Expertens BeleR Bals 20,00 Income Summary 19 (900 ) DR CR a jak

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