Piepai a Horizontal analysis of Fulier Company's income statements. Fuller Company Income Statements For the Years Ended December 31 Amount Percent Increase/ Increase/ 2019 2018 (Decrease) (Decrease) Fees earned $680,000 $850,000 $ -170,000 -20% Operating expenses 541,875 637,500 95,625 Net income $138,125 $212,500 $ -74,375 15 Feedback Continuing Problem Chapter 2-Instruction 1 Save a copy of the spreadsheet by clicking on the "Spreadsheet" here. You will need Problem. Be sure to save the spreadsheet in a safe place for future use. - completed spreadsheet for the remaining parts of this continuing PS Musie's chart of accounts and the balance of accounts as of July 1, 2019 (all normal balances), are as follows: 11 Cash $3,920 41 Fees Earned 12 Accounts Receivable $6,200 14 Supplies 1,000 170 - 15 Prepaid Insurance 17 Omce Equipment 21 Accounts Payable 250 50 Wages Expense 51 Office Rent Expense 52 Equipment Rent Expense 53 Utilities Expense 54 Music Expense 55 Advertising Expense 56 Supplies Expense 59 Miscellaneous Expense 23 Uneared Revenue 31 Peyton Smith, Capital 32 Peyton Smith, Drawing 4,000 500 Required: Review the spreadsheet and notice that the July 1, 2019, account balances have been entered in the appropriate balance column of the four-column accounts. The word Balance has been entered in the Item column, and a check mark (V) has been entered in the Posting Reference column Previous Next Email Instructor Save and Exit Submit Assignment for Gra Copy Merge & Center - Paste BI U Format Office Update To keep up-to-date with security updates, foces, and improvements, choose Check for Updates 13 x fx Item CONTINUING PROBLEM - The following udger accounts appear below, in this order Cash Account Recipes, Prepaid O mar And Degro-Oiart Au Pay Wa Payawada . Peyton , Cap. Peyton Drawing and Income Summary - Beginning balances from the textbook have already been entered - The remaining accounts are found on the next page. An asterisk (*) will appear in the column to the right of an incorrect amount. LEDGERS - Balance Sheet accounts Cash Date I tem 2019 7/1 Balance Accounts Receivable Balance Date Hem Real D 7/1 Balance Balance Sheet Accounts Income Statement Accounts + Ready MacBC Office Update To keep up-to-date with security updates, fixes, and improvements, choose Check for D13 x fx Item Accounts Receivable Item Date Supplies 7/1 Balance Prepaid Insurance Balance Date Hem Office Equipment Dato Itom Ret Balance Sheet Accounts Income Statement Accounts D13 x fx Item Accumulated Depreciation - Office Equipment Accounts Payable Balance Wages Payable Balance Sheet Accounts Peyton Smith, Capital Date Item Balance Dr Balance 7/1 Balan 4,000 Peyton Smith, Drawing Balance Date Post Ref. Item Dr. 7/1 Balance 500