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please complete the income statement Question 1 The following unadjusted trial balance was taken from the ledger of Mirande's Management Services on 30 June 2019

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please complete the income statement

Question 1 The following unadjusted trial balance was taken from the ledger of Mirande's Management Services on 30 June 2019 Account Debit Credit Cash at bank $75.200 Accounts receivable 69,560 Prepaid insurance 22,560 Equipment 216.200 Accumulated depreciation equipment $56,400 Accounts payable 60.160 Miranda Pre capital 191.760 Miranda Pre drawings 47,000 Service revenue 319,600 Wages expense 122.200 Electricity expense 50.760 Sundry expense 24,440 $627,920 $627.920 Your answer has been saved and sent for grading. See Gradebook for score details. Prepare a 10.olumn worksheet using the following additional information on 30 June 2019 (Law answer uits blank if no amount is required) 1. Accrued wages. $16.920. 2. Expired insurance, $15.040, 3. Depreciation on equipment. $56.400 Unadjusted trial balance Debit Credit Miranda's Management Services Worksheet for the year ended 30 June 2019 Adjusted Adjustments trial balance Debit Credit Debit Credit 75200 Account Income sta Debit Cash at bank 75.200 Accounts receivable 69,560 69560 Prepaid insurance 22 560 15040 7520 Equipment 216,200 216200 Accumulated depreciation - equipment 56400 56400 112800 Accounts payable 60,160 50160 Miranda Pike capital 191.760 191760 Miranda Pike drawings 47.000 47000 Service revenue 319,600 319600 Wages expense 122.200 16920 139120 139120 Electricity expense 50,760 50760 50760 Sundry expense 24,440 24440 24440 627,920 627,920 Weges payable 16920 16920 Insurance expense 15040 15040 15040 Depreciation expense -equipment 56400 56400 56400 BR360 88360 701240 701240 285760 Pront for the period 33840 319600 SHOW ANSWER Attempts: 1 of 1 from the ledger of Miranda's Management Services on 30 June 2019. Credit ebit 5.200 9,560 2.560 6,200 $56.400 60,160 191,760 7000 319,600 2.200 0,760 4440 7.920 S527.920 ading. See Gradebook for score details ng additional information on 20 June 2019. (Leave answer fields blank if no amount is required.) djusted balance Credit Miranda's Management Services Worksheet for the year ended 30 June 2019 Adjusted Adjustments trial balance Debit Credit Debit Credit Income statement Debit Credit Balance sheet Debit Credit 0 75200 75200 69560 0 69560 0 15040 7520 7520 0 216200 216200 56,400 56400 112800 112800 60.160 50160 60160 191,760 191760 191760 0 47000 47000 319.600 319600 319500 0 16920 139120 139120 0 50760 50750 0 24440 24640 0 627920 16920 16920 16920 15040 15040 15040 55400 55400 56400 BB360 88360 701240 701240 285760 319500 415480 381640 33840 33840 319600 319600 415490 415480 Attempts: 1 of 1 used anges in equity and a balance sheet (List items that increase statement of changes in equity first) Site Prepare an income statement, a statement of changes in equity and a balance sheet List items that increase statement or changes in equity first.) Miranda's Management Services Income statement for the year ended 30 June 2019 $ Miranda's Management Services Statement of changes in equity for the year ended 30 June 2019 Miranda's Management Services Balance sheet as at 30 June 2019 Assets Liabilities Equity

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