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Please help me fix the following errors. Menu Project Instructions March Transactions Chart of Accounts Inputs 1 - Journal Entries 2 - General Ledger 3

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Please help me fix the following errors. Menu
Project Instructions
March Transactions
Chart of Accounts
Inputs
1- Journal Entries
2- General Ledger
3- Trial Balance
4 & 5 Adjusting Entries
6- Adjusted TBRequirement #7: Prepare the financlal statements for Howard's Filght Radio Management Corporation as of March 31 in the space below.
You wil only be preparing the Income Statement, Statement of Retained Earning, and the Balance Sheet.
The Statement of Cash Flows is a required Financlal Statement, but is not required for this project.
Howard's Filght Radio Management Corporation
Statement of Retained Earnings
For the Month Ending March 31
Since net income is incorrect, ending retained
earnings is also incorrect.
Howard's Filght Radio Management Corporation
Balance Sheet
March 31
The highlighted amount is incorrect due to errors in previous steps.
March 1 Began business by making a deposit in a company bank account of $22500, in exchange for 2,250 shares of $10 par value common stock.
March 1 Paid the premium on a 1-year insurance policy, $2,160.
March 1 Paid the current month's rent expense, $1,800.
March 3 Purchased repair equipment from Fred Company, $5,800. Paid $2200 down and the balance was placed on account. The rest will be paid in equal payments over the next 12 months. The first payment is due 4/1. Note: Use Use Accounts Payable for the Balance Due.
March 8 Purchased repair supplies from Gary Company on credit, $650.
March 10 Paid telephone bill for March, $400.
March 11 Cash flight management system (FMS) repair revenue for the first third of March, $2000.
March 18 Made payment to Gary Company, $400.
MArch 20 Cash FMS repair revenue for the second third of March, $2,450.
March 31 Cash FMS repair revenue for the last third of March, $1,500.
March 31 Paid the current month's electic bill, $300.
March 31 Declared and paid cash dividend of $1,000.
Account Type Account Number Account Title Normal Balance
Assets
111 Cash Debit
117 Prepaid Insurance Debit
119 Repair Supplies Debit
144 Repair Equipment Debit
145 Accum Dep -Repair Equipment Credit
Liabilities
212 Accounts Payable Credit
213 Income Tax Payable Credit
Stockholders Equity
311 Common Stock Credit
312 Retained Earnings Credit
313 Dividends Debit
Revenue
411 FMS Repair Revenue Credit
Expenses on the pictures
511 Store Rent Expense Debit
512 Telephone Expense Debit
513 Insurance Expense Debit
514 Repair Supplies Expense Debit
515 Dep Expense - Repair Equipment Debit
516 Income Tax Expense Debit
517 Electric Expense Debit.
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