Question
Listed below (in alphabetical order) are the general ledger and budgetary accounts for the City of Walland. All balances are year end, unless otherwise noted.
Listed below (in alphabetical order) are the general ledger and budgetary accounts for the City of Walland. All balances are year end, unless otherwise noted. All accounts have a normal balance. At the end of the year, the City Council passed an ordinance that all outstanding orders would be honored in the following fiscal year. Also, the Finance Officer set aside $40 for equipment replacement.
Requirements:
1. Prepare the Statement of Revenues, Expenditures, and Changes in Fund Balance for the year ended June 30, 20X4.
2. Prepare the Balance Sheet for the year ended June 30, 20X4.
3. Prepare all necessary closing entries.
City of Walland
Preclosing Trial Balance
For the Year Ended June 30, 20X4
Advance to Enterprise Fund................................................................................ 1,000
Allowance for Uncollectible Taxes...................................................................... 300
Appropriations.................................................................................................... 8,850
Budgetary Fund Balance...................................................................................... 150
Cash..................................................................................................................... $5,000
Due from Special Revenue Fund......................................................................... 100
Encumbrances Outstanding................................................................................. 60
Encumbrances...................................................................................................... 60
Estimated Revenues............................................................................................. 9,000
Expenditures Capital Outlay............................................................................ 2,500
Expenditures Operating.................................................................................... 6,340
Fund Balance (July 1, 20X3)............................................................................... 9,505
Investments......................................................................................................... 2,500
OFS Proceeds from Sale of Vehicle.................................................................. 50
OFS Transfer from Capital Projects Fund....................................................... 60
OFU Transfer to Debt Service Fund................................................................ 100
OFU Transfer to Enterprise Fund.................................................................... 200
Revenues Other................................................................................................ 1,250
Revenues Property Taxes................................................................................. 7,500
Salaries Payable................................................................................................... 50
Special Item Proceeds from Sale of Land.......................................................... 350
Supplies............................................................................................................... 175
Taxes Receivable.................................................................................................. 1,500
Vouchers Payable................................................................................................ 350
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