Question
Nolans Home Appraisals Worksheet For Month Ended October 31, 20 - - 1 TRIAL BALANCE TRIAL BALANCE ADJUSTMENTS ADJUSTMENTS 2 ACCOUNT TITLE DEBIT CREDIT DEBIT
Nolans Home Appraisals |
Worksheet |
For Month Ended October 31, 20 - - |
1 |
| TRIAL BALANCE | TRIAL BALANCE | ADJUSTMENTS | ADJUSTMENTS |
2 | ACCOUNT TITLE | DEBIT | CREDIT | DEBIT | CREDIT |
3 | Cash | 830.00 |
|
|
|
4 | Accounts Receivable | 760.00 |
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|
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5 | Supplies | 625.00 |
|
| 415.00 |
6 | Prepaid Insurance | 950.00 |
|
| 150.00 |
7 | Automobile | 6,500.00 |
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|
|
8 | Accumulated DepreciationAutomobile |
|
|
| 250.00 |
9 | Accounts Payable |
| 1,500.00 |
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10 | Wages Payable |
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| 175.00 |
11 | Val Nolan, Capital |
| 9,900.00 |
|
|
12 | Val Nolan, Drawing | 1,100.00 |
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|
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13 | Appraisal Fees |
| 3,000.00 |
|
|
14 | Wages Expense | 1,560.00 |
| 175.00 |
|
15 | Advertising Expense | 420.00 |
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|
|
16 | Rent Expense | 1,050.00 |
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|
|
17 | Supplies Expense |
|
| 415.00 |
|
18 | Phone Expense | 255.00 |
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|
|
19 | Insurance Expense |
|
| 150.00 |
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20 | Repair Expense | 270.00 |
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|
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21 | Oil and Gas Expense | 80.00 |
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|
|
22 | Depreciation ExpenseAutomobile |
|
| 250.00 |
|
23 |
| $14,400.00 | $14,400.00 | $990.00 | $990.00 |
CHART OF ACCOUNTSNolans Home AppraisalsGeneral Ledger
ASSETS | |
101 | Cash |
122 | Accounts Receivable |
141 | Supplies |
145 | Prepaid Insurance |
181 | Office Equipment |
185.1 | Accumulated Depreciation-Automobile |
LIABILITIES | |
202 | Accounts Payable |
219 | Wages Payable |
EQUITY | |
311 | Val Nolan, Capital |
312 | Val Nolan, Drawing |
313 | Income Summary |
REVENUE | |
401 | Appraisal Fees |
EXPENSES | |
511 | Wages Expense |
512 | Advertising Expense |
521 | Rent Expense |
523 | Supplies Expense |
525 | Phone Expense |
535 | Insurance Expense |
538 | Oil and Gas Expense |
541 | Depreciation Expense-Automobile |
549 | Miscellaneous Expense |
PAGE 3
GENERAL JOURNAL
DATE | ACCOUNT TITLE | POST. REF. | DEBIT | CREDIT | |
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1 |
| Adjusting Entries |
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2 |
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5 |
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6 |
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GENERAL LEDGER
Account: Supplies141Account No.
DATE | ITEM | POST. REF. | DEBIT | CREDIT | BALANCE | ||
---|---|---|---|---|---|---|---|
DEBIT | CREDIT | ||||||
1 | Oct. 2 |
| J1 | 625.00 |
| 625.00 |
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2 |
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Account: Prepaid Insurance145Account No.
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Account: Accumulated Depreciation-Automobile185.1Account No.
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Account: Wages Payable219Account No.
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Account: Wages Expense511Account No.
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Account: Supplies Expense523Account No.
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Account: Insurance Expense535Account No.
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Account: Depreciation Expense-Automobile541Account No.
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Required:
1. | Journalize the adjusting entries on page 3 of the general journal. |
2. | Post the adjusting entries to the general ledger. |
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