Question
Jul. 1 The following assets were received from Samantha Hogan: cash, $25,700; accounts receivable, $30,200; supplies, $5,100; and office equipment, $12,100. There were no liabilities
Jul. | 1 | The following assets were received from Samantha Hogan: cash, $25,700; accounts receivable, $30,200; supplies, $5,100; and office equipment, $12,100. There were no liabilities received. |
1 | Paid three months rent on a lease rental contract, $8,100. | |
2 | Paid the premiums on property and casualty insurance policies, $6,100. | |
3 | Received cash from clients as an advance payment for services to be provided and recorded it as unearned fees, $10,800. | |
5 | Purchased additional office equipment on account from Office Necessities Co., $6,900. | |
6 | Received cash from clients on account, $17,300. | |
10 | Paid cash for a newspaper advertisement, $680. | |
12 | Paid Office Necessities Co. for part of the debt incurred on July 5, $4,100. | |
12 | Provided services on account for the period July 112, $19,200. | |
14 | Paid receptionist for two weeks salary, $2,000. |
Jul. | 17 | Received cash from cash clients for fees earned during the period July 117, $14,100. |
18 | Paid cash for supplies, $1,400. | |
20 | Provided services on account for the period July 1320, $12,200. | |
24 | Received cash from cash clients for fees earned for the period July 1724, $11,500. | |
26 | Received cash from clients on account, $16,300. | |
27 | Paid receptionist for two weeks salary, $2,000. | |
29 | Paid telephone bill for July, $440. | |
31 | Paid electricity bill for July, $910. | |
31 | Received cash from cash clients for fees earned for the period July 2531, $9,600. | |
31 | Provided services on account for the remainder of July, $7,400. | |
31 | Samantha withdrew $27,100 for personal use. |
Arborvite Consulting
ADJUSTED TRIAL BALANCE
July 31, 20Y9
ACCOUNT TITLE | DEBIT | CREDIT | |
---|---|---|---|
1 | Cash | 52,470 | |
2 | Accounts Receivable | 35,400 | |
3 | Supplies | 3,900 | |
4 | Prepaid Rent | 5,400 | |
5 | Prepaid Insurance | 5,590 | |
6 | Office Equipment | 19,000 | |
7 | Accumulated Depreciation-Office Equipment | 540 | |
8 | Accounts Payable | 2,800 | |
9 | Salaries Payable | 190 | |
10 | Unearned Fees | 4,100 | |
11 | Samantha Hogan, Capital | 73,100 | |
12 | Samantha Hogan, Drawing | 27,100 | |
13 | Fees Earned | 80,700 | |
14 | Salary Expense | 4,190 | |
15 | Rent Expense | 2,700 | |
16 | Supplies Expense | 2,600 | |
17 | Depreciation Expense | 540 | |
18 | Insurance Expense | 510 | |
19 | Miscellaneous Expense | 2,030 | |
20 | Totals | 161,430 | 161,430 |
9. A. | Journalize the closing entries on page 4 of the journal. Closing entries are recorded on July 31. |
9. B. | Add the appropriate posting reference to the closing entries in the journal in CengageNOW. |
JOURNAL
ACCOUNTING EQUATION
DATE | DESCRIPTION | POST. REF. | DEBIT | CREDIT | ASSETS | LIABILITIES | EQUITY | |
---|---|---|---|---|---|---|---|---|
1 | Closing Entries | |||||||
2 | ||||||||
3 | ||||||||
4 | ||||||||
5 | ||||||||
6 | ||||||||
7 | ||||||||
8 | ||||||||
9 | ||||||||
10 | ||||||||
11 |
I just need the Journal for the Closing entries. There are only 11 rows.
Step by Step Solution
There are 3 Steps involved in it
Step: 1
Get Instant Access to Expert-Tailored Solutions
See step-by-step solutions with expert insights and AI powered tools for academic success
Step: 2
Step: 3
Ace Your Homework with AI
Get the answers you need in no time with our AI-driven, step-by-step assistance
Get Started