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Ledger Accounts 1 . Cash Date Description Debit Credit Balance April 2 Investment 4 5 , 0 0 0 4 5 , 0 0 0

Ledger Accounts
1. Cash
Date Description Debit Credit Balance
April 2 Investment 45,00045,000
April 3 Rent Expense 2,30042,700
April 4 Office Supplies 1,00041,700
April 10 Prepaid Insurance 1,98039,720
April 14 Salaries Expense 1,30038,420
April 24 Commissions Revenue 13,50051,920
April 28 Salaries Expense 1,30050,620
April 29 Repairs Expense 40050,220
April 30 Telephone Expense 1,15049,070
April 30 Dividends 1,53047,540
2. Accounts Receivable
Date Description Debit Credit Balance
April 30 Commissions Revenue 1,7001,700
3. Office Supplies
Date Description Debit Credit Balance
April 4 Purchase Supplies 1,0001,000
April 30 Office Supplies Expense 500500
4. Prepaid Insurance
Date Description Debit Credit Balance
April 10 Insurance Premium 1,9801,980
April 30 Insurance Expense 1101,870
5. Computer Equipment
Date Description Debit Credit Balance
April 2 Investment 30,00030,000
6. Accumulated DepreciationComputer Equipment
Date Description Debit Credit Balance
April 30 Depreciation Expense 300300
7. Salaries Payable
Date Description Debit Credit Balance
April 30 Salaries Expense 460460
8. Common Stock
Date Description Debit Credit Balance
April 2 Investment 75,00075,000
9. Dividends
Date Description Debit Credit Balance
April 30 Dividends Declared 1,5301,530
10. Commissions Revenue
Date Description Debit Credit Balance
April 24 Cash Collected 15,20015,200
April 30 Close Revenue 15,2000
11. Salaries Expense
Date Description Debit Credit Balance
April 14 Cash Paid 1,3001,300
April 28 Cash Paid 1,3002,600
April 30 Close Expense 3,0600
12. Rent Expense
Date Description Debit Credit Balance
April 3 Cash Paid 2,3002,300
April 30 Close Expense 2,3000
13. Office Supplies Expense
Date Description Debit Credit Balance
April 30 Close Expense 500500
14. Depreciation ExpenseComputer Equipment
Date Description Debit Credit Balance
April 30 Close Expense 300300
15. Insurance Expense
Date Description Debit Credit Balance
April 30 Close Expense 110110
16. Repairs Expense
Date Description Debit Credit Balance
April 29 Cash Paid 400400
17. Telephone Expense
Date Description Debit Credit Balance
April 30 Cash Paid 1,1501,150
Closing Entries
18. Income Summary
Date Description Debit Credit Balance
April 30 Close Revenue 15,20015,200
April 30 Close Expenses 7,8207,380
April 30 Close to Retained Earnings 7,3800
19. Retained Earnings
Date Description Debit Credit Balance
April 30 Close Income Summary 7,3807,380
April 30 Close Dividends 1,5305,850

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