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here is the data what more info? be more specific Update the trial balance for Kobie's Moving Co. for December 31, 201X. B Click the

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here is the data
image text in transcribed
what more info? be more specific
image text in transcribed
Update the trial balance for Kobie's Moving Co. for December 31, 201X. B Click the icon to view the unadjusted trial balance.) (Click the icon to Tasks Montn Engea December 31, 2014 Trial Balance Adjustments Account Titles Dr. Cr. Dr. Cr. Cash 13,000 2,300 1,600 11,000 7,000 2,768 Prepaid Insurance Moving Supplies Moving Truck Accum. Dep., Moving Truck Accounts Payable K. Hutton, Capital K. Hutton, Withdrawals Revenue from Moving Wage Expense Rent Expense Advertising Expense Totals 15,033 1,100 9,200 3,840 650 511 34,001 34,001 Help Me Solve This Video Get More Help , calculate the adjustment amount and record appropriate debits or credits: stment data.) ..... nd record appropriate debits or credits. More Info a. b. Supplies purchased, $1,200. Supplies on hand, $400. Store equipment, $10,000. Accumulated depreciation, store equipment, before adjustment, $1,300. Depreciation expense, store equipment, $300. ng Print Done Annar. Til Worksheet Month Ended December 31, 201X Trial Balance Adjustments Account Titles Dr. Cr. Dr. Cr. Cash 13,000 2,300 1,600 11,000 7,000 2,768 Prepaid Insurance Moving Supplies Moving Truck Accum. Dep., Moving Truck Accounts Payable K. Hutton, Capital K. Hutton, Withdrawals Revenue from Moving Wage Expense Rent Expense Advertising Expense 15,033 1,100 9,200 3,840 650 511 Totals 34,001 34,001 Update the trial balance for Kobie's Moving Co. for December 31, 201X. B Click the icon to view the unadjusted trial balance.) (Click the icon to Tasks Montn Engea December 31, 2014 Trial Balance Adjustments Account Titles Dr. Cr. Dr. Cr. Cash 13,000 2,300 1,600 11,000 7,000 2,768 Prepaid Insurance Moving Supplies Moving Truck Accum. Dep., Moving Truck Accounts Payable K. Hutton, Capital K. Hutton, Withdrawals Revenue from Moving Wage Expense Rent Expense Advertising Expense Totals 15,033 1,100 9,200 3,840 650 511 34,001 34,001 Help Me Solve This Video Get More Help , calculate the adjustment amount and record appropriate debits or credits: stment data.) ..... nd record appropriate debits or credits. More Info a. b. Supplies purchased, $1,200. Supplies on hand, $400. Store equipment, $10,000. Accumulated depreciation, store equipment, before adjustment, $1,300. Depreciation expense, store equipment, $300. ng Print Done Annar. Til Worksheet Month Ended December 31, 201X Trial Balance Adjustments Account Titles Dr. Cr. Dr. Cr. Cash 13,000 2,300 1,600 11,000 7,000 2,768 Prepaid Insurance Moving Supplies Moving Truck Accum. Dep., Moving Truck Accounts Payable K. Hutton, Capital K. Hutton, Withdrawals Revenue from Moving Wage Expense Rent Expense Advertising Expense 15,033 1,100 9,200 3,840 650 511 Totals 34,001 34,001

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