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I need help with these entries. I have posted a picture of what is required and the entries I got last unit. The requirements are;
I need help with these entries. I have posted a picture of what is required and the entries I got last unit.
Continue with the Assignment from Unit 2, using the same Excel Template and complete the following steps: 1. Prepare/Journalize the Adjusting entries A-F a. Insurance expired during June is $150. b. Supplies on hand on June 30 are $1,020 c. Depreciation of office equipment for June is $500 d. Accrued receptionist salary on June 30 is $120. e. Rent expired during June is $1,500. f. Unearned fees on June 30 are $2,000. 2. Post the adjusting entries to the General Ledger. 3. Prepare an income statement, a statement of owner's equity, and a balance sheet. 4. Journalize and post the closing entries. (Income Summary is account #33 in the chart of accounts.) 5. Prepare a post-closing trial balance The requirements are;
Adjusted entries to general journal
Adjusted trial balance
Closing entiries to general journal
Post closing trial balance
Financial statements; income statement , statement of owners equity, balance sheet
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