Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

For the past several years, Steffy Lopez has operated a part-time consulting business from his home. As of July 1, 20Y2, Steffy decided to move

For the past several years, Steffy Lopez has operated a part-time consulting business from his home. As of July 1, 20Y2, Steffy decided to move to rented quarters and to operate the business, which was to be known as Diamond Consulting, on a full-time basis. Diamond entered into the following transactions during July: 2. Post the journal to a ledger of four-column accounts. Add the appropriate posting reference to the journal. 6. B. Post the adjusting entries, inserting balances in the accounts affected. 9. B. Post the closing entries, inserting balances in the accounts affected.

Jul. 1 The following assets were received from Steffy Lopez in exchange for common stock: cash, $12,500; accounts receivable, $20,800; supplies, $3,200; and office equipment, $7,000. There were no liabilities received.
1 Paid two months rent on a lease rental contract, $4,800.
2 Paid the premiums on property and casualty insurance policies, $4,860.
4 Received cash from clients as an advance payment for services to be provided, and recorded it as unearned fees, $5,500.
5 Purchased additional office equipment on account from Office Station Co., $6,500.
6 Received cash from clients on account, $15,100.
10 Paid cash for a newspaper advertisement, $400.
12 Paid Office Station Co. for part of the debt incurred on July 5, $5,200.
12 Recorded services provided on account for the period July 112, $13,300.
14 Paid receptionist for two weeks salary, $1,800.

Record the following transactions on Page 2 of the journal:

Jul. 17 Recorded cash from cash clients for fees earned during the period July 117, $9,450.
18 Paid cash for supplies, $600.
20 Recorded services provided on account for the period July 1320, $6,650.
24 Recorded cash from cash clients for fees earned for the period July 1724, $4,000.
26 Received cash from clients on account, $12,000.
27 Paid receptionist for two weeks salary, $1,800.
29 Paid telephone bill for July, $350.
31 Paid electricity bill for July, $675.
31 Recorded cash from cash clients for fees earned for the period July 2531, $5,300.
31 Recorded services provided on account for the remainder of July, $3,000.
31 Paid dividends, $12,500.

Part 1 General Journal completed below

image text in transcribedimage text in transcribed 2. Post the journal to a ledger of four-column accounts. Add the appropriate posting reference to the journal. 6. B. Post the adjusting entries, inserting balances in the accounts affected. 9. B. Post the closing entries, inserting balances in the accounts affected.

General Ledger Instructions

LEDGER

Account: Cash11Account No.

image text in transcribed image text in transcribed image text in transcribed image text in transcribed

1. Joumalize each transaction in a two-column journai starting on Page 1. (Do not insert the account numbers in the joumai at this time.) General joumal instructions Note: Scroll down io access pages 2 through 4 of the journal. General Ledger Shaded cels have faedbsck 2. Fost the joumai to a ledger of four-column accounts. Ado the appropriate posthg reference to the fournal, 6 . B. Fost the acjusting enthes, inserting oalances in the accounts affecteo 9. B. Fost the ciosing ensties, insering baiances in the accounts affected. Genera/ Ledger instructions How does graciing wark? Hocount: Supplics Aceount: Pregald insurance Account Na. 16 \begin{tabular}{|} 7 \\ \hline 2 \\ \hline \end{tabular} Account: DHice Equlipment Account Na. 18 Account: Common Stock. Account Na. 35 Account: Common Stock. Account No. 31 Aceount: Retaliced Eamings Account No. 32 Acoount: Dovidends Account No. 33 Account: Focs Earncd Account Na. 45 2 3 Account: Salary Experos Account No. 51 Accoant: Supptics Expense Account No. 53 Aocount: Supplics Expenso Account Na. 53 1. Joumalize each transaction in a two-column journai starting on Page 1. (Do not insert the account numbers in the joumai at this time.) General joumal instructions Note: Scroll down io access pages 2 through 4 of the journal. General Ledger Shaded cels have faedbsck 2. Fost the joumai to a ledger of four-column accounts. Ado the appropriate posthg reference to the fournal, 6 . B. Fost the acjusting enthes, inserting oalances in the accounts affecteo 9. B. Fost the ciosing ensties, insering baiances in the accounts affected. Genera/ Ledger instructions How does graciing wark? Hocount: Supplics Aceount: Pregald insurance Account Na. 16 \begin{tabular}{|} 7 \\ \hline 2 \\ \hline \end{tabular} Account: DHice Equlipment Account Na. 18 Account: Common Stock. Account Na. 35 Account: Common Stock. Account No. 31 Aceount: Retaliced Eamings Account No. 32 Acoount: Dovidends Account No. 33 Account: Focs Earncd Account Na. 45 2 3 Account: Salary Experos Account No. 51 Accoant: Supptics Expense Account No. 53 Aocount: Supplics Expenso Account Na. 53

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access to Expert-Tailored Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image

Step: 3

blur-text-image

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Accounting Audits In The Democratic Republic Of Congo

Authors: Charles Kyungu Kakudji

1st Edition

6206327043, 978-6206327042

More Books

Students also viewed these Accounting questions

Question

Describe how language reflects, builds on, and determines context?

Answered: 1 week ago