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Better Boat Company completed the following transactions in November and December and prepared the following unadjusted trial balance a (Click the icon to view the

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Better Boat Company completed the following transactions in November and December and prepared the following unadjusted trial balance a (Click the icon to view the November and December transactions.) (Click the icon to view the unadjusted trial balance. ) At December 31, the business gathers the following information for the adjusting entries (Click the icon to view the additional information.) Read the requirements Requirement 1.Journalize and post the adjusting entries. In the T-accounts, denote each adjusting amount as Ad and an account balance as Begin by journalizing the adjusting entries. (Record debits first, then credits. Select the explanation on the last line of the journal entry table) a. Office supplies on hand, $600 di Date Accounts and Explanation Debit Credit 1Dec 31 Adj (a) it Choose from any list or enter any number in the input fields and then click Check Answer n Darts 3-46 (similr tol Reference at at Company compl k the icon to view ber 31, the busine k the icon to view th 22 Rented canoes to Adventure Kings on account, $3,600 26 Paid $2,500 on account related to the November 3, 2018, purchase. 28 Received $1,400 from Adventure Kings for canoe rental on November 22, 2018 30 Paid $300 dividends to stockholders e as ent 1. Journalize ournalizing the ad upplies on hand, Dec. 1 Ashley and Zander contributed land on the river (worth $70,000) and a small building to use as a rental ffice (worth $132,000) in exchange for common stock 1 Prepaid $5,400 for three months' rent on the warehouse where the company stores the canoes. 2 Purchased canoes signing a notes payable for $7.680 31 4 Purchased office supplies on account for $300 9 Received $4,900 cash for canoe rentals to customers. 15 Rented canoes to customers for $3,700, but will be paid next month. 16 Received a $650 deposit from a canoe rental group that will use the canoes next month 18 Paid the utilities and telephone bills from last month. 19 Paid various accounts payable, $1,200 20 Received bills for the telephone ($270) and utilities ($280) which will be paid later 31 Paid wages of $2,300 31 Paid cash dividend to stockholders, $400 n any list or ent Print Done ning Final Telephone Payable Unearned Revenue Notes Payable Common Stock Dividends Canoe Rental Revenue Rent Expense Wages Expense Utilities Expense Telephone Expense Total 270 650 7,680 222,000 nd, $600. Acc 800 13,900 1,800 3,700 370 380 S 246,900 S246,900 tor enter any numbe Print Done Better Boat Company completed the following transactions in November and December and prepared the following unadjuste (Click the icon to view the November and December transactions.) At December 31, the business gathers the following information for the adjusting entries: (Click the icon to view the unadjusted trial balia (Click the icon to view the additional information.) Read the requirements Requirement 1. Journalize and Begin by journalizing the adjusting e Requirements a. Office supplies on hand, $600. Date 1. Journalize and post the adjusting entries. In the T-accounts, denote each Dec. 3111 Adj (a) adjusting amount as Adj and an account balance as Bal. 2. Prepare an adjusted trial balance as of December 31, 2018. Print Done Better Boat Company completed the following transactions in November and December and prepared the following unadjusted trial balance a (Click the icon to view the November and December transactions.) Click the icon to view the unadjusted trial balance.) At December 31, the business gathers the following information for the adjusting entries (Click the icon to view the additional information.) Read the requirements Requirement 1.Journalize and post the adjusting entries. In the T-accounts, denote each adjusting amount as Ad and an account balance as Begin by journalizing the adjusting entries (Record debits first, then credits. Select the explanation on the last line of the journal entry table) a. Office supplies on hand, $600 di Date Accounts and Explanation Debit Credit Dec 31 Adj (a) sir Choose from any list or enter any number in the input felds and then click Check Answer 0 Darts any completed the follow Reference nto view the November a ed trial ba the business gathers the lance.) to view the additional inf Unadjusted Trial Balance December 31, 2018 ents. Balance ournalize and post the a Account Title ing the adjusting entriesash on hand, $600 Debit Credit ccount ba S 13,050 5,900 1,500 5,400 12,000 70,000 132,000 nal entry t Accounts Receivable Office Supplies Prepaid Rent Canoes Land Building Accounts Payable Utilities Payable Telephone Payable Unearned Revenue Notes Payable Acc 2,120 280 270 650 7,680 list or enter any numbe Print Done Better Boat Company Unadjusted Trial Balance December 31, 2018 Balance Account Title Debit Credit Cash 13,050 5,900 1,500 5,400 12,000 70,000 132,000 Accounts Receivable Office Supplies Prepaid Rent Canoes Land Building Accounts Payable Utilities Payable $2,120 280 270 650 Telephone Payable Unearned Revenue

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