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After the success of the company's first two months, Santana Rey continues to operate Business Solutions. The November 30, 2019, unadjusted trial balance of Business
After the success of the company's first two months, Santana Rey continues to operate Business Solutions. The November 30, 2019, unadjusted trial balance of Business Solutions (reflecting its transactions for October and November of 2019) follows. Credit Debit $ 38,964 13,418 2,645 2,160 3,080 8,500 $ @ 21,600 0 @ @ No. 101 106 126 128 131 163 164 167 168 201 210 236 307 318 319 403 612 613 623 637 640 652 655 676 677 684 64,000 Account Title Cash Accounts receivable Computer supplies Prepaid insurance Prepaid rent Office equipment Accumulated depreciation office equipment Computer equipment Accumulated depreciation-Computer equipment Accounts payable Wages payable Unearned computer services revenue Common stock Retained earnings Dividends Computer services revenue Depreciation expense-Office equipment Depreciation expense-Computer equipment Wages expense Insurance expense Rent expense Computer supplies expense Advertising expense Mileage expense Miscellaneous expenses Repairs expense-Computer Totals 6,000 38, 279 0 2,575 0 0 0 1,728 634 250 725 $102,279 $102,279 Business Solutions had the following transactions and events in December 2019. Dec. 2 Paid $965 cash to Hillside Mall for Business Solutions' share of mall advertising costs. 3 Paid $500 cash for minor repairs to the company's computer. 4 Received $4,350 cash from Alex's Engineering Co. for the receivable from November. 10 Paid cash to Lyn Addie for six days of work at the rate of $100 per day. 14 Notified by Alex's Engineering Co. that Business Solutions' bid of $7,000 on a proposed project has been accepted. Alex's paid a $2,300 cash advance to Business Solutions. 15 Purchased $1,700 of computer supplies on credit from Harris Office Products. 16 Sent a reminder to Gomez Co. to pay the fee for services recorded on November 8. 20 Completed a project for Liu Corporation and received $6,125 cash. 22- Took the week off for the holidays. 26 28 Received $3,200 cash from Gomez Co. on its receivable. 29 Reimbursed S. Rey for business automobile mileage (500 miles at $0.29 per mile). 31 The company paid $1,200 cash in dividends. The following additional facts are collected for use in making adjusting entries prior to preparing financial statements for the company's first three months. a. The December 31 inventory count of computer supplies shows $580 still available. b. Three months have expired since the 12-month insurance premium was paid in advance. c. As of December 31, Lyn Addie has not been paid for four days of work at $100 per day. d. The computer system, acquired on October 1, is expected to have a four-year life with no salvage value. e. The office equipment, acquired on October 1, is expected to have a five-year life with no salvage value. f. Three of the four months' prepaid rent have expired. Required: 1. Prepare journal entries to record each of the December transactions and events for Business Solutions. 2-a. Prepare adjusting entries to reflect a through f. 2-b. Post the journal entries to record each of the December transactions from Requirement 1 and adjusting entries from Requirement 2A. After completing Requirement 7, post the closing entries to the general ledger accounts. 3. Prepare an adjusted trial balance as of December 31, 2019. 4. Prepare an income statement for the three months ended December 31, 2019. 5. Prepare a statement of retained earnings for the three months ended December 31, 2019. 6. Prepare a balance sheet as of December 31, 2019. 7. Record the necessary closing entries as of December 31, 2019 and then post the closing entries to the general ledger in Requirement 2B. 8. Prepare a post-closing trial balance as of December 31, 2019. Complete this question by entering your answers in the tabs below. Paid $965 cash to Hillside Mall for Business Solutions' share of mall advertising costs. Note: Enter debits before credits. General Journal Debit Credit Date Dec 02 Paid $500 cash for minor repairs to the company's computer. Note: Enter debits before credits. General Journal Debit Credit Date Dec 03 Received $4,350 cash from Alex's Engineering Co. for the receivable from November Note: Enter debits before credits. General Journal Debit Credit Date Dec 04 Paid cash to Lyn Addie for six days of work at the rate of $100 per day. Note: Enter debits before credits. General Journal Debit Credit Date Dec 10 Notified by Alex's Engineering Co. that Business Solutions' bid of $7,000 on a proposed project has been accepted. Alex's paid a $2,300 cash advance to Business Solutions. Note: Enter debits before credits. General Journal Debit Credit Date Dec 14 Purchased $1,700 of computer supplies on credit from Harris Office Products. Note: Enter debits before credits. General Journal Debit Credit Date Dec 15 Sent a reminder to Gomez Co. to pay the fee for services recorded on November 8. Note: Enter debits before credits. General Journal Debit Credit Date Dec 16 Completed a project for Liu Corporation and received $6,125 cash. Note: Enter debits before credits. General Journal Debit Credit Date Dec 20 Received $3,200 cash from Gomez Co. on its receivable. Note: Enter debits before credits. General Journal Debit Credit Date Dec 28 Reimbursed S. Rey for business automobile mileage (500 miles at $0.29 per mile) Note: Enter debits before credits. General Journal Debit Credit Date Dec 29 The company paid $1,200 cash in dividends. Note: Enter debits before credits. General Journal Debit Credit Date Dec 31 101: Cash 106: Accounts Receivable Date Debit Credit Date Debit Credit Balance 38,964 Balance 13,418 Dec. 01 Dec. 01 126: Computer Supplies 128: Prepaid Insurance Credit Debit Credit Debit Date Dec. 01 Balance 2.645 Date Dec. 01 Balance 2,160 131: Prepaid Rent Debit Credit 163: Office Equipment Debit Credit Date Date Balance 3,080 Balance 8,500 Dec. 01 Dec. 01 164: Accumulated DepreciationOffice Equipment Date Debit Credit Balance 167: Computer Equipment Debit Credit Date Dec. 01 Balance 21,600 Dec. 01 0 168: Accumulated Depreciation-Computer Equipment Date Debit Credit Balance Dec. 01 201: Accounts Payable Debit Credit Date Balance 0 Dec. 01 0 210: Wages Payable Debit Credit Balance Date Dec. 01 236: Unearned Computer Services Revenue Date Debit Credit Balance Dec. 01 0 307: Common Stock Debit Credit 318: Retained Earnings Debit Credit Date Balance Date Balance Dec 01 64,000 Dec 01 0 319: Dividends Debit Credit 403: Computer Services Revenue Debit Credit Date Dec. 01 Balance 6,000 Date Dec. 01 Balance 38,279 612: Depreciation Expense-Office Equipment Date Debit Credit Balance Dec. 01 613: Depreciation Expense-Computer Equipment Date Debit Credit Balance Dec. 01 0 623: Wages Expense Debit Credit 637: Insurance Expense Debit Credit Date Balance Date Dec. 01 Balance 2,575 Dec. 01 640: Rent Expense Debit Credit 652: Computer Supplies Expense Debit Credit Date Balance Balance Date Dec. 01 Dec. 01 0 0 655: Advertising Expense Debit Credit 676: Mileage Expense Debit Credit Date Date Balance 1,728 Balance 634 Dec 01 Dec. 01 677: Miscellaneous Expense Debit Credit 684: Repairs Expense-Computer Debit Credit Date Date Dec. 01 Balance 250 Balance 725 Dec. 01 901: Income Summary Debit Credit Date Balance
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