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On April 1, Jiro Nozomi created a new travel agency, Adventure Travel. The following transactions occurred during the companys first month. April 1 Nozomi invested

On April 1, Jiro Nozomi created a new travel agency, Adventure Travel. The following transactions occurred during the companys first month.

April 1 Nozomi invested $34,000 cash and computer equipment worth $40,000 in the company in exchange for common stock.
2 The company rented furnished office space by paying $2,200 cash for the first months (April) rent.
3 The company purchased $1,300 of office supplies for cash.
10 The company paid $2,800 cash for the premium on a 12-month insurance policy. Coverage begins on April 11.
14 The company paid $1,300 cash for two weeks' salaries earned by employees.
24 The company collected $17,000 cash for commissions earned.
28 The company paid $1,300 cash for two weeks' salaries earned by employees.
29 The company paid $300 cash for minor repairs to the company's computer.
30 The company paid $1,050 cash for this month's telephone bill.
30 The company paid $2,100 cash in dividends.

The company's chart of accounts follows:

101 Cash 405 Commissions Earned
106 Accounts Receivable 612 Depreciation ExpenseComputer Equip.
124 Office Supplies 622 Salaries Expense
128 Prepaid Insurance 637 Insurance Expense
167 Computer Equipment 640 Rent Expense
168 Accumulated DepreciationComputer Equip. 650 Office Supplies Expense
209 Salaries Payable 684 Repairs Expense
307 Common Stock 688 Telephone Expense
318 Retained Earnings 901 Income Summary
319 Dividends

Use the following information:

  1. Prepaid insurance of $156 has expired this month.
  2. At the end of the month, $500 of office supplies are still available.
  3. This months depreciation on the computer equipment is $500.
  4. Employees earned $390 of unpaid and unrecorded salaries as of month-end.
  5. The company earned $2,050 of commissions that are not yet billed at month-end.

Required: 1. & 2. Prepare journal entries to record the transactions for April and post them to the ledger accounts in Requirement 6b. The company records prepaid and unearned items in balance sheet accounts. 3. Using account balances from Requirement 6b, prepare an unadjusted trial balance as of April 30. 4. Journalize the adjusting entries for the month and prepare the adjusted trial balance. 5a. Prepare the income statement for the month of April 30. 5b. Prepare the statement of retained earnings for the month of April 30. 5c. Prepare the balance sheet at April 30. 6a. Prepare journal entries to close the temporary accounts and then post to Requirement 6b. 6b. Post the journal entries to the ledger. 7. Prepare a post-closing trial balance.

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View transaction list Journal entry worksheet 1 2 Date April 30 3 Record the entry to close the revenue account(s). Note: Enter debits before credits. Record entry 4 General Journal Clear entry Debit Credit View general journal 1 2 Record the entry to close the expense account(s). Date April 30 3 Note: Enter debits before credits. Record entry General Journal Clear entry Debit Credit View general journal > ournal entry worksheet 1 2 Date April 30 3 Record the entry to close the income summary. Note: Enter debits before credits. Record entry 4 General Journal Clear entry > Journal entry worksheet 1 2 Record the entry to close the dividends account. Date April 30 3 Note: Enter debits before credits. Record entry General Journal Clear entry Debit Credit View general journal Post the journal entries to the ledger. Date Date Date 101: Cash Debit Credit 124: Office Supplies Debit Credit 167: Computer Equipment Debit Credit General Ledger accounts Balance Balance Balance Date Date Date 106: Accounts Receivable Debit Credit 128: Prepaid Insurance Debit Credit Balance Balance 168: Accumulated Depreciation-Computer equipment Debit Credit Balance Date Date Date Date 209: Salaries Payable Debit Credit 318: Retained Earnings Debit Credit 405: Commissions Earned Debit Credit 622: Salaries Expense Debit Credit Balance Balance Balance. Balance Date Date 307: Common Stock Debit Date 319: Dividends Debit Credit Debit Credit 612: Depreciation Expense-Computer Equipment Date Credit Balance 637: Insurance Expense Debit Credit Balance Balance Balance Date Date Date 640: Rent Expense Debit Credit 684: Repairs Expense Debit Credit 901: Income Summary Debit Credit Balance Balance Balance Date Date 650: Office Supplies Expense Debit Credit 688: Telephone Expense Credit Debit Balance Balance Req 4 Adj Entries Prepare a post-closing trial balance. Req 1 and 2 Totals Req 3 Req 4 Adj Trial Bal ADVENTURE TRAVEL Post-Closing Trial Balance April 30 Account Title ; $ Req 5A Debit 0 Req 5B $ Credit Req 5C 0 Req 6A Req 6B GL Req 7

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