Question
I am so lost on this and don't understand it. Please help!! Using the information below, you are at the end of the month of
I am so lost on this and don't understand it. Please help!!
Using the information below, you are at the end of the month of May, and you have to reset the temporary accounts prior to the new period starting. You have to do the closing journal entries in order to do this. Please close the appropriate accounts using the general journal and general ledger. Make sure to do a post-closing trial balance to ensure you are still in the balance after the closing is done. Make sure that all temporary accounts are properly closed and not reflected on the post-closing trial balance.
KJO Withholdings | |||
Adjusted Trial Balance | |||
For Period Ended May 31 | |||
Account | Act. # | Debit | Credit |
Cash | 101 | 78,839.82 | |
Accounts Receivable | 105 | 2,760.00 | |
Supplies | 108 | 1,795.00 | |
Prepaid Insurance | 111 | 3,937.50 | |
Equipment | 150 | 5,700.00 | |
Accumulated Depreciation- Equipment | 150.1 | 210.00 | |
Accounts Payable | 210 | 8,425.00 | |
Unearned Service Revenue | 220 | 3,570.00 | |
Federal Income Tax Payable | 230 | 772.00 | |
FICA Payable | 240 | 977.12 | |
Medicare Payable | 250 | 228.52 | |
FUTA Payable | 260 | 66.00 | |
SUTA Payable | 270 | 45.10 | |
Owner Capital | 301 | 75,000.00 | |
Owner Withdrawals | 301.1 | 2,000.00 | |
Service Revenue | 410 | 16,545.00 | |
Salaries Expense | 510 | 7,880.00 | |
Electric Expense | 520 | 430.00 | |
Supplies Expense | 530 | 930.00 | |
Insurance Expense | 540 | 562.50 | |
Depreciation Expense | 550 | 210.00 | |
Bank Fee Expense | 560 | 25.00 | |
Payroll Tax Expense | 570 | 713.92 | |
Misc. Expense | 580 | 55.00 | |
TOTALS | 105,838.74 | 105,838.74 | |
General Ledger | ||||||||
OWNER EQUITY | ||||||||
Owner Capital | Act. # | 301.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 75,000.00 | ||||||
Owner Withdrawals | Act. # | 301.10 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 2,000.00 | ||||||
REVENUES | ||||||||
Service Revenue | Act. # | 410.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 16,545.00 | ||||||
EXPENSES | ||||||||
Salaries Expense | Act. # | 510.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 7,880.00 | ||||||
Electric Expense | Act. # | 520.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 430.00 | ||||||
Supplies Expense | Act. # | 530.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 930.00 | ||||||
Insurance Expense | Act. # | 540.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 562.50 | ||||||
Depreciation Expense | Act. # | 550.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 210.00 | ||||||
Bank Fee Expense | Act. # | 560.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 25.00 | ||||||
Payroll Taxes Expense | Act. # | 570.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 713.92 | ||||||
Miscellaneous Expense | Act. # | 580.00 | ||||||
Date | Item | PR | Debit | Credit | Balance | |||
31-May | Balance | 55.00 | ||||||
KJO Withholdings | ||||||||
Adjusted Trial Balance | ||||||||
For Period Ended May 31 | ||||||||
Account | Act. # | Debit | Credit | |||||
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