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Instructions: Journalize each of the April transactions in the two-column journal provided in the Excel template. Record transactions for April 1-15 on page 5 of

Instructions:

  1. Journalize each of the April transactions in the two-column journal provided in the Excel template. Record transactions for April 1-15 on page 5 of the journal. Record transactions for April 16-30 on page 6 of the journal.
  2. Post the transactions from the journal to the general ledger accounts.
  3. Prepare an unadjusted trial balance on the worksheet provided.
  4. Using information below, the lecture notes and the unadjusted trial balance, prepare and journalize the adjusting journal entries in journal page 7:
    • Supplies on hand on April 30, $900.
    • Insurance expired during the month of April. Balance is $2250
    • Expired rent for the month of April. Balance is $6000
    • Depreciation on office equipment for April. Balance is $15000
    • Unearned fees on April 30, $7,600.
  5. Enter the adjusting entries on the worksheet and complete all ten columns of the worksheet.
  6. Post the adjusting journal entries in the general ledger accounts.
  7. Prepare an income statement, statement of owners equity, and classified balance sheet.
  8. Prepare and journalize the closing entries on page 8 of the journal.
  9. Post the closing entries in the general ledger accounts.
  10. Prepare a post-closing trial balance as of April 30, 2021.
  11. During the month of April, 2021, Williams Tax Service entered into the following transactions:

Apr. 3. Received cash from clients as advance payments for services to be provided, $4,500 (Unearned Fees).

5. Received cash from clients on account, $10,500.

8. Paid cash for a water bill for $600.

10. Paid Office Depot on account, $2,500.

15. Recorded services provided on account for the period of April 1-15, $10,500.

15. Paid receptionist/bookkeeper a semi-monthly salary of $3,000.

15. Recorded cash from cash clients for fees earned during the period of April 1-15, $7,500.

16. Purchased office supplies on account, $2,300.

20. Paid telephone bill, $1,060.

21. Paid electricity bill, $850.

25. Recorded cash received from clients on account, $6,200.

30. Paid receptionist/bookkeeper a semi-monthly salary of $3,000.

30. Recorded cash from cash clients for fees earned for the period April 16-30, $9,600.

30. Recorded services on account for April 16-30, $10,600.

30. John withdrew $10,000 for personal use.

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JOURNAL Page 5 Post Ref. Description Debit Credit Date 2021 Apr. Work Sheet For the Month Ended April 30, 2021 TRIAL BALANCE DEBIT CREDIT ADJUSTMENTS DEBIT CREDIT ADJ TRIAL BALANCE INCOME STATEMENT DEBIT CREDIT DEBIT CREDIT BALANCE SHEET DEBIT CREDIT ACCOUNT TITLE Cash Accounts Receivable Supplies Prepaid Rent Prepaid Insurance Office Equipment Accumulated Depreciation Accounts Payable Unearned Fees John Williams, Capital John Williams, Drawing Fees Earned Salary Expense Rent Expense Supplies Expense Depreciation Expense Insurance Expense Utilities Expense Net Income POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 15,500 ACCOUNT Accounts Receivable ACCOUNT NO 12 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 14,700 ACCOUNT Supplies ACCOUNT NO 14 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 1,500 ACCOUNT Prepaid Rent ACCOUNT NO 15 BALANCE CREDIT ITEM REF DEBIT CREDIT DEBIT DATE 2021 Apr. 1 Balance 6,000 ACCOUNT Prepaid Insurance ACCOUNT NO 16 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 2,250 ACCOUNT Office Equipment ACCOUNT NO 18 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance V 15,000 ACCOUNT Accumulated Depreciation ACCOUNT NO 19 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance V 750 ACCOUNT Accounts Payable ACCOUNT NO 21 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 5,100 ACCOUNT Uneamed Fees ACCOUNT NO 23 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 9,000 ACCOUNT John Williams, Capital ACCOUNT NO 31 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Apr. 1 Balance 40,100 ACCOUNT John Williams, Drawing ACCOUNT NO 32 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Fees Eamed ACCOUNT NO 41 BALANCE POST ITEM REF DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Salary Expense ACCOUNT NO 51 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Rent Expense ACCOUNT NO 52 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Supplies Expense ACCOUNT NO 53 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Depreciation Expense ACCOUNT NO 54 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Insurance Expense ACCOUNT NO 55 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 ACCOUNT Utilities Expense ACCOUNT NO 59 BALANCE POST REF ITEM DEBIT CREDIT DEBIT CREDIT DATE 2021 Income Statement Williams Tax Service Statement of Owner's Equity Classified Balance Sheet JOURNAL Page 7 Post Ref. Debit Credit Date 2021 Apr. 30 Description Adjusting Entries Post-Closing Trial Balance April 30, 2021 Account Title Debit Credit

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