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Instructions The transactions completed by PS Music during June 2018 were described at the end of Chapter 1. The following transactions were completed during July,
Instructions The transactions completed by PS Music during June 2018 were described at the end of Chapter 1. The following transactions were completed during July, the second month of the business's operations: Jul. 1 Peyton Smith made an additional investment in PS Music in exchange for common stock by depositing $5,000 in PS Music's checking account. 1 Instead of continuing to share office space with a local real estate agency, Peyton decided to rent office space near a local music store. Paid rent for July, $1,750. 1 Paid a premium of $2,700 for a comprehensive insurance policy covering liability, theft, and fire. The policy covers a one-year period. 2 Received $1,000 on account. 3 On behalf of PS Music, Peyton signed a contract with a local radio station, KXMD, to provide guest spots for the next three months. The contract requires PS Music to provide a guest disc jockey for 80 hours per month for a monthly fee of $3,600. Any additional hours beyond 80 will be billed to KXMD at $40 per hour. In accordance with the contract, Peyton received $7,200 from KXMD as an advance payment for the first two months. 3 Paid $250 on account. 4 Paid an attorney $900 for reviewing the July 3 contract with KXMD. (Record as Miscellaneous Expense.) 5 Purchased office equipment on account from Office Mart, $7,500. Paid for a newspaper advertisement, $200. 8 11 Received $1,000 for serving as a disc jockey for a party. 13 Paid $700 to a local audio electronics store for rental of digital recording equipment. Paid wages of $1,200 to receptionist and part-time assistant. 14 Check My Work 2 more Check My Work uses remaining. 3 On behalf of PS Music, Peyton signed a contract with a local radio station, KXMD, to provide guest spots for the next three months. The contract requires PS Music to provide a guest disc jockey for 80 hours per month for a monthly fee of $3,600. Any additional hours beyond 80 will be billed to KXMD at $40 per hour. In accordance with the contract, Peyton received $7,200 from KXMD as an advance payment for the first two months. 3 Paid $250 on account. 4 Paid an attorney $900 for reviewing the July 3 contract with KXMD. (Record as Miscellaneous Expense.) 5 Purchased office equipment on account from Office Mart, $7,500. 8 Paid for a newspaper advertisement, $200. 11 13 Received $1,000 for serving as a disc jockey for a party. Paid $700 to a local audio electronics store for rental of digital recording equipment. Paid wages of $1,200 to receptionist and part-time assistant. 14 Enter the following transactions on Page 2 of the two-column journal: Jul. 16 Received $2,000 for serving as a disc jockey for a wedding reception. 18 Purchased supplies on account, $850. 21 Paid $620 to Upload Music for use of its current music demos in making various music sets. Paid $800 to a local radio station to advertise the services of PS Music twice daily for the remainder of 22 July 23 Served as disc jockey for a party for $2,500. Received $750, with the remainder due August 4, 2018. 27 Paid electric bill, $915. 28 Paid wages of $1,200 to receptionist and part-time assistant 29 Paid miscellaneous expenses, $540. 30 Served as a disr.inckev for a charity hall for $1.500 Received $500 with the remainder due on August Check My Work 2 more Check My Work uses remaining. Enter the following transactions on Page 2 of the two-column journal: Jul. 16 18 21 Received $2,000 for serving as a disc jockey for a wedding reception. Purchased supplies on account, $850. Paid $620 to Upload Music for use of its current music demos in making various music sets. Paid $800 to a local radio station to advertise the services of PS Music twice daily for the remainder of July 22 23 Served as disc jockey for a party for $2,500. Received $750, with the remainder due August 4, 2018. 27 Paid electric bill, $915. 28 Paid wages of $1,200 to receptionist and part-time assistant. 29 Paid miscellaneous expenses, $540. 30 Served as a disc jockey for a charity ball for $1,500. Received $500, with the remainder due on August 9, 2018 31 31 Received $3,000 for serving as a disc jockey for a party. Paid $1,400 royalties (music expense) to National Music Clearing for use of various artists' music during July. 31 Paid dividends, $1,250. PS Music's chart of accounts and the balance of accounts as of July 1, 2018 (all normal balances), are as follows: 11 Cash $3,920 12 Accounts Receivable 1,000 14 Supplies 170 15 Prepaid Insurance 17 Office Equipment 21 Accounts Payable 250 Check My Work 2 more Check My Work uses remaining. PS Music's chart of accounts and the balance of accounts as of July 1, 2018 (all normal balances), are as follows: 11 Cash $3,920 12 Accounts Receivable 1,000 14 Supplies 170 15 Prepaid Insurance 17 Office Equipment Accounts Payable 21 250 23 Unearned Revenue 31 Common Stock 4,000 33 Dividends 500 41 Fees Earned 6,200 50 Wages Expense 400 51 Office Rent Expense 800 52 Equipment Rent Expense 675 53 Utilities Expense 300 54 Music Expense 1,590 55 Advertising Expense 500 56 Supplies Expense 180 59 Miscellaneous Expense 415 Required: 1. Enter the July 1, 2018, account balances in the appropriate balance column of a four-column account. No entry is needed for accounts with a zero balance. Write Balance in the item column, and select a check mark in the Posting Reference column. (Note: Verify the equality of the ck My Work 2 more Check My Work uses remaining. 21 Accounts Payable 250 23 Unearned Revenue 31 Common Stock 4,000 33 Dividends 500 41 Fees Earned 6,200 50 Wages Expense 400 51 Office Rent Expense 800 52 Equipment Rent Expense 675 53 Utilities Expense 300 54 Music Expense 1,590 55 500 Advertising Expense Supplies Expense 56 180 59 Miscellaneous Expense 415 Required: 1. Enter the July 1, 2018, account balances in the appropriate balance column of a four-column account. No entry is needed for accounts with a zero balance. Write Balance in the item column, and select a check mark in the Posting Reference column. (Note: Verify the equality of the debit and credit balances in the ledger before proceeding with the next instruction.) 2. Analyze and journalize each transaction in a two-column journal beginning on Page 1, omitting journal entry explanations. Refer to the Chart of Accounts for exact wording of account titles. 3. Post the journal to the ledger, extending the account balance to the appropriate balance column after each posting. Indicate a zero balance by inserting a 0 (zero) in either of the Balance columns opposite the entry. 4. Prepare an unadjusted trial balance as of July 31, 2018
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