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i need answers for the rest of the tovell journal worksheet so this is the answer for the worksheet i need income statement, classified balance

i need answers for the rest of the tovell journal worksheet
so this is the answer for the worksheet i need income statement, classified balance sheet and also closing entries
sorry if the pictures are too blurry its just that from my phone it makes the pictures blurry when i put it in this app/question
answer for the worksheet image text in transcribed
image text in transcribed
income statement:
image text in transcribed
classified balance sheet:
image text in transcribed image text in transcribedimage text in transcribed
closing entries
image text in transcribed
basically i need answers for income statement, classified balance sheet and lastly closing entries
trial Balance AT 1 $ ORIGOSI ODGOG hot Receivable ped Malerie headinerne land Puding formed Depreciation Building . . 0000000 din . . 1 . . re . Automatique Aerumited Deprem AeroPayde HUT Peble PUIT The Bank loan Morge Pepsible Recept cewing Ameri Adjusted Til balance Debi Credit Det Credit Debo De 2,000.00 . 300000 $ 15 31720 $ 8,10300 $ 6,41620 . 23,1010 s 3.013 . 4,200.00 $ 2.0T5.00 13.00 $ 7.75,000 00 $ 7.75,000 00 30,000.00 30,000.00 45.00000 $ 15,000.00 $ 5.700 DO 95.70000 8 22.71000 $ 10.000.00 30.10.00 . 15.000 . 75,905 000 . 0.00000 $ 7.570.00 37,50 00 . $ 1.400 8 10 TOT 22 120000 1000 750.00 . 750 000 $1.00.000.00 $ 1.00 500.00 $ 0.00.00000 $ 60.000.00 $ 7.29.4001 $ 1.34891 . 0.00000 . 50,000 00 $2,1896.00 8.900.00 $ 21000100 91 315 00 01315.00 . 12.150 00 3 12,150.00 . 3 32000 4.6050 200.00 3 5.100.50 5549 13 $ 35.00 $ S 30000 5.375 13 30000 5 1.30000 1.130 20 3 33,37620 . 5031015 5 34 310 15 5 275000 $ $ 2.750.00 24600 1 2.4000 2633419 7660 $ 2700039 S 11.350.00 . 11.350.00 1431300 143100 31A15 33 5 13.0751633 633000 31000 OTG 125 126 5 00 ORE 5 5 $ . $ Rewe Canton Bank & Charge Building Matenance Cutra Miscellaneo Mortgage lewe Otice pe Ottice Karies Sales Promo Telephone per Truk Dapenas des per Wage . 5 $ $ 1 5 Unadjusted Trial Balance Account Title Bank Recounts Receivable Supplies and Materials Prepaid Insurance Land Building Accumulated Depreciation Building Equipment Accumulated Depreciation Equipment Automotive Equipment Accumulated Depreciation Automotive Equipment Accounts Payable HST Payable HST recoverable Bank Loan Mortgage Payable Race capital Raluce Drawing Revenue-Advertising Revenue Circulation Bank Interest & Charges Expenses Building Maintenance expenses Car Expenses Miscellaneous Expenses Mortgage Interest Expenses Office Expenses Othee Salaries Expenses Sales Promotion Expenses Telephone Expenses Truck Expenses Utilities Expenses Wages Expenses D E Adjustment Debit Credit Debit Credit Del $ 2,000.00 $ $ 15,317.20 $ 8,903.00 $ $ 23,195.16 $ 509.60 $ 15,691 20 $ $ 4,200.00 $ 2,875.00 $ $ 7,75,000.00 $ 8,30,000.00 $ 45,000.00 $ 15,000.00 $ 95,700.00 $ 22,710.00 $ 10,000.00 $ 75,925.00 $ 30,000.00 $ 7,570.00 $ 9,216.43 $ 1.490.80 1.280.00 750.00 $ 1,00,000.00 $ 6,60,000.00 $ 7,29,448.91 $ 50,000.00 $ 2,18,946.00 $ 8.903.00 $ 91,315.00 $ 12,150.00 $ 3,220.00 $ 4,960.30 $ 300.00 5 5,940.13 $ 35.00 $ 36,300.00 $ 1,240 00 $ 51,136 30 $ 34,319.15 $ 2,750.00 $ 2,946.00 $ 26,334 19 $ 746.20 $ 11,350.00 $ 94 319.00 $ 19,07916 33 5 19.07.016 33 $ 61.530.00 $ 81.530.00 $1 N- 1 2 3 4 5 6 REVENUE AD 7 8 9 OPERATING EXPENSES 10 11 12 13 0 0 14 15 16 17 16 19 20 21 22 23 24 + E Worksheet Adjusting Entries Income 1 2 Balance Sheet 3 4 ASSETS Current Assets 5 16 7 B 9 10 17 $0.00 12 Total Current Assets Property, Plant & Equipment (or fixed assets) 13 14 15 16 17 18 19 20 + E Worksheet Adjusting Entries Income Statement Classit B 2 3 4 Total Assets $0.00 S LIABILITIES AND OWNER'S EQUITY Current Liabilities 3 Total Current Liabilities $0.00 Long-Term Liabilities Total Liabilities $0.00 Shareholder's Equity + Worksheet Adjusting Entries Income Statement Cla 35 36 37 $0.00 38 Total Liabilities 39 40 Shareholder's Equity 41 42 43 44 45 46 47 $0.00 Total Liabilities & Owner's Equity 18 19 50 51 52 Clos ng Entries General Journal Particulars Page Credit Date P.R. Debit Adjusting Entries 1 2 3 4 5 6 7 8 9 10 11 12 13 15 18 SaaS 22 23 24 25 + Worksheet Adiusting Entries Income Statement Classified R

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