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Please help me complete all the accounting assignment. Show all the entries and worksheets. Thank you. Comprehensive Problem 2 for Chapters 10-40 This comprehensive problem

Please help me complete all the accounting assignment. Show all the entries and worksheets. Thank you.
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Comprehensive Problem 2 for Chapters 10-40 This comprehensive problem is a continuation of Comprehensive Problem 1. Murphy Delivery Service has completed closing entries and the accounting cyclo for 2018. The business is now ready to record January 2019 transactions Jan. 3. Collected $200 cash from customer on account 5 Purchased office supplies on account, $1,000 12 Performed delivery services for a customer and received $3,000 cash 15 Paid employee salary, indluding the amount owed on December 31.54.100 18 Performed delivery services on account, $1.350. 20 Paid 5300 on account 24 Purchased fuel for the truck, paying $200 cash. 27 Completed the remaining work due for Unearned Revenue 28 Paid office rent $2.200 for the month of January 30 Collected $3.000 in advance for delivery service to be performed later. 31 Murphy withdrew cash of 51.500 Requirements 1. Record each January transaction in the journal. Explanations are not required. 2. Post the transactions in the T-accounts. Don't forget to use the December 31, 2018, ending balances as appropriate 3. Prepare an unadjusted trial balance as of January 31, 2010, 4. Prepare a worksheet as of January 31, 2019 (optional), 5. Journalize the adjusting entries using the following adjustmont data and also by reviewing the journal entrios prepared in Requirement 1. Post adjusting entries to the T-accounts. Adjustment data a. Office Supplies on hand, 5600 Requirements 1. Record each January transaction in the journal. Explanations are not required. 2. Post the transactions in the T-accounts. Don't forget to use the December 31, 2018, ending balances as appropriate. 3. Prepare an unadjusted trial balance as of January 31, 2019. 4. Prepare a worksheet as of January 31, 2019 (optional) 5. Journalize the adjusting entries using the following adjustment data and also by reviewing the journal entries prepared in Requirement 1. Post adjusting entries to the T-accounts. Adjustment data: a. Office Supplies on hand, 5600 b. Accrued Service Rovenue, $1,800. c. Accrued Salaries Expenso, $500. d. Prepaid Insurance for the month has expired. o. Depreciation was recorded on the truck for the month. 6. Propare an adjusted trial balance as of January 31, 2019, 7. Prepare Murphy Delivery Service's income statement and statomont of owner's equity for the month onded January 31, 2019, and the classified balance sheet on that date. On the income statement, list expenses in decreasing order by amount--that is, the largest expenso first, the smallest expense last. 8. Calculate the following ratios as of January 31, 2019, for Murphy Delivory Servico: return on assets, debt ratio, and current ratio

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