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Panther Marine Corporation For the Years Ended June 30, 2016 and 2017 Instructions: Below are the adjusted trial balances for the years ended June 30,




Panther Marine Corporation

For the Years Ended June 30, 2016 and 2017

Instructions: Below are the adjusted trial balances for the years ended June 30, 2016 and 2017. The identified "changes" columns MUST be completed in order to complete the statement of cash flows (DO NOT COMPLETE greyed out cells). USE the June 30, 2017 adjusted trial balance columns to create the financial statements.



June 30, 2016


June 30, 2017



Adjusted


Adjusted



Trial Balance
Changes
Trial Balance









Acct. No.
Account Title
Dr.
Cr.
Debit
Credit
Dr.
Cr









100
Cash
562,480.00



483,944.10










102
Accounts Receivable
822,633.00



755,400.00










103
Allowance for Doubtful Accounts

25,643.00



19,816.89









104
Merchandise Inventory
440,980.00



440,980.00










105
Estimated Returns Inventory
56,450.00



56,450.00










106
Office Supplies
1,250.00



1,250.00










107
Prepaid Insurance
12,500.00



10,500.00










120
Investments - Trading
45,000.00



60,000.00










121
Investments - Available for Sale
14,650.00



26,450.00










122
Investments - Held to Maturity
23,850.00



40,005.01










123
Valuation Allowance
27,000.00




35,000.00









140
Land
1,753,367.63



2,000,600.00










145
Building
1,893,723.48



1,843,723.48










146
Accumulated Depreciation - Building

1,400,000.00



1,500,000.00









151
Equipment
51,000.00



61,000.00










152
Accumulated Depreciation - Equipment

28,000.00



30,000.00









153
Office Furniture
32,500.00



22,500.00










154
Accumulated Depreciation - Office Furniture

3,500.00



4,500.00









201
Accounts Payable

1,156,000.00



1,156,000.00









202
Wages Payable

-



-









203
Interest Payable

-



-









204
Dividends Payable

-



-









205
Unearned Rent

6,000.00



4,000.00









206
Customer Refunds Payable

35,682.00



29,027.60









250
Notes Payable

12,000.00



212,000.00









251
Bonds Payable

200,000.00



400,000.00









252
Premium on Bonds Payable

-



-









253
Discount on Bonds Payable
-



-










252
Mortgage (Warehouse) Payable

248,000.00



198,000.00









300
Common Stock, $1 Par, 100,000 Authorized; 65,500 shares Issued/Outstanding

50,000.00



65,500.00









301
Paid In Capital - Excess of Par

356,000.00



356,000.00









330
Retained Earnings

2,397,969.09



2,397,969.09









331
Cash Dividends
-



100,000.00










340
Treasury Stock
38,000.00



18,000.00










341
Unrealized (Gain) Loss Available for Sale Securities
-
-


-
-









500
Sales

1,142,580.00



1,358,940.00









600
Cost of Goods Sold
450,199.00



582,159.00










700
Wage Expense (hourly workers)
489,560.00



599,500.00










701
Salaries Expense (Exempt Staff)
89,000.00



129,000.00










702
Marketing Expense
65,000.00



75,000.00










703
Travel and Entertainment Expense
525.00



925.00










704
Bad Debt Expense
5,816.88



9,816.88










705
Property Tax Expense
111,104.10



-










706
Office Maintenance & Repair Expense
-



-










707
Legal Expenses
-



5,400.00










708
Insurance Expense
1,500.00



3,500.00










709
Utilities Expense
48,985.00



68,624.12










710
Office Supplies Expense
400.00



735.00










711
Telecommunications Expense
-



100.00










712
Depreciation Expense - Building




100,000.00










713
Depreciation Expense - Equipment
4,000.00



2,000.00










714
Depreciation Expense - Office Furniture
500.00



1,000.00










800
Rent Income

-



2,000.00









801
Unrealized Gain - Trading Securities

-



6,000.00









802
Realized Gain - Investment Securities

-



51,955.01









900
Interest Expense
5,400.00



12,500.00










901
Unrealized Loss - Trading Securities
10,000.00



68,000.00










902
Realized Loss - Investment Securities
4,000.00



9,000.00











Total
7,061,374.090
7,061,374.090


7,588,062.590
7,826,708.590



























Net Income (Loss)
















Total
















Difference















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