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On April 1, Jiro Nozomi created a new travel agency, Adventure Travel. The following transactions occurred during the company's first month. Apri1 2 nozomi invested

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On April 1, Jiro Nozomi created a new travel agency, Adventure Travel. The following transactions occurred during the company's first month. Apri1 2 nozomi invested $35,000 cash and conpeter equipment worth $20,000 in the company In exehange for ite connon stock. Apr11 3 the company rented furnished office space by paying $2,300 cash for the firat nonth's (Apri1) reat. Apri1 4 The conpany purehased $2,300 of office supplies for cash. Apr11 10 The comany paid $1,800caah for a 12 -wonth inturance policy. Coverage begine on April 11. Apr11 14 the company paid $800 cash for two weeks' aalaries earned by employees. Apri1 24 the company collected $12,500 cash for comaissions revenue. Apri1 28 the company paid $800 cash for two weeks' aslarios rearned by eaployees. April 29 The oompany paid $350 oash for alinor repairs to computer equipenent. Apri1 30 the company paid $1,100 cash for this month' telophone bil1. Apri1 30 the company paid $1,520cash in dividends. e. The company earned $2,150 of commissions revenue that is not yet recorded at month-end. Required: 1. \& 2. Prepare journal entries to record the transactions for April and post them to ledger accounts in Requirement 6BGL tab. The company records prepaid and unearned items in balance sheet accounts. 3. Using account balances from Requirement 6BGL tab, prepare an unadjusted trial balance as of April 30. 4. Joumalize the adjusting entries for the month, and then post to the ledger on Requirement 6BGL tab, using April 30 Adjusted as the date. 5a. Using adjusted account balances from Requirement 6BGL tab, prepare an adjusted trial balance as of Aprill 30. 5b. Prepare the income statement for the month of April 30 . 5c. Prepare the statement of retained earnings for the month of April 30. 5d. Prepare the balance sheet at April 30. 6a. Prepare journal entries to close the temporary accounts and then post to Requirement 6B GL tab, using April 30 Close as the date. 6b. Post the joumal entries to the ledger. 7. Prepare a post-closing trial balance

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