Question
DATE TRANSACTIONS Jan. 2 Purchased supplies for $14,000; issued Check 1015. 2 Purchased a one-year insurance policy for $16,800. 7 Sold services for $30,000 in
DATE | TRANSACTIONS | |
Jan. | 2 | Purchased supplies for $14,000; issued Check 1015. |
| 2 | Purchased a one-year insurance policy for $16,800. |
| 7 | Sold services for $30,000 in cash and $20,000 on credit during the first week of January. |
| 12 | Collected a total of $8,000 on account from credit customers during the first week of January. |
| 12 | Issued Check 1017 for $7,200 to pay for special promotional advertising to new businesses on the local radio station during the month. |
| 13 | Collected a total of $9,000 on account from credit customers during the second week of January. |
| 14 | Returned supplies that were damaged for a cash refund of $1,500. |
| 15 | Sold services for $41,400 in cash and $4,600 on credit during the second week of January. |
| 20 | Purchased supplies for $10,000 from Whites, Inc.; received Invoice 2384 payable in 30 days. |
| 20 | Sold services for $25,000 in cash and $7,000 on credit during the third week of January. |
| 20 | Collected a total of $11,200 on account from credit customers during the third week of January. |
| 21 | Issued Check 1018 for $14,130 to pay for maintenance work on the office equipment. |
| 22 | Issued Check 1019 for $7,200 to pay for special promotional advertising to new businesses in the local newspaper. |
| 23 | Received the monthly telephone bill for $2,050 and paid it with Check 1020. |
| 26 | Collected a total of $3,200 on account from credit customers during the fourth week of January. |
| 27 | Issued Check 1021 for $6,000 to Office Plus as payment on account for Invoice 2223. |
| 28 | Sent Check 1022 for $5,350 in payment of the monthly bill for utilities. |
| 29 | Sold services for $38,000 in cash and $5,500 on credit during the fourth week of January. |
| 31 | Issued Checks 10231027 for $65,600 to pay the monthly salaries of the regular employees and three part-time workers. |
| 31 | Issued Check 1028 for $24,000 for personal use. |
| 31 | Issued Check 1029 for $8,300 to pay for maintenance services for the month. |
| 31 | Purchased additional equipment for $30,000 from Contemporary Equipment Company; issued Check 1030 for $20,000 and bought the rest on credit. The equipment has a five-year life and no salvage value. |
| 31 | Sold services for $15,200 in cash and $3,240 on credit on January 31. |
|
| ADJUSTMENTS |
| 31 | Compute and record the adjustment for supplies used during the month. An inventory taken on January 31 showed supplies of $9,400 on hand. |
| 31 | Compute and record the adjustment for expired insurance for the month. |
| 31 | Record the adjustment for one month of expired rent of $4,000. |
| 31 | Record the adjustment for depreciation of $183 on the old equipment for the month. The first adjustment for depreciation for the new equipment will be recorded in February. |
Journal entry worksheet
- Compute and record the adjustment for supplies used during the month. An inventory taken on January 31 showed supplies of $9,400 on hand.
- Compute and record the adjustment for expired insurance for the month.
- Record the adjustment for one month of expired rent of $4,000.
- Record the adjustment for depreciation of $183 on the old equipment for the month.
- Record the closure of Fees income.
- Record the closure of expense accounts.
- Record the transfer of income to capital account
- Record drawings for the period.
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