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PLEASE HELP, NO ONE IS ANSWERING MY QUESTION AND IT IS SUE TODAY WORTH 20% OF MY FINAL GRADE! At June 30, 2017, the end

PLEASE HELP, NO ONE IS ANSWERING MY QUESTION AND IT IS SUE TODAY WORTH 20% OF MY FINAL GRADE!

At June 30, 2017, the end of its most recent fiscal year, Bramble Computer Consultants post-closing trial balance was as follows:

Debit Credit
Cash $6,490
Accounts receivable 1,490
Supplies 860
Accounts payable $500
Unearned service revenue 1,390
Common stock 4,500
Retained earnings 2,450
$8,840 $8,840

The company underwent a major expansion in July. New staff was hired and more financing was obtained. Bramble conducted the following transactions during July 2017, and adjusts its accounts monthly.

July 1 Purchased equipment, paying $5,200 cash and signing a 2-year note payable for $24,800. The equipment has a 4-year useful life. The note has a 6% interest rate which is payable on the first day of each following month.
2 Issued 24,800 shares of common stock for $62,000 cash.
3 Paid $4,200 cash for a 12-month insurance policy effective July 1.
3 Paid the first 2 (July and August 2017) months rent for an annual lease of office space for $5,000 per month.
6 Paid $4,700 for supplies.
9 Visited client offices and agreed on the terms of a consulting project. Bramble will bill the client, Connor Productions, on the 20th of each month for services performed.
10 Collected $1,490 cash on account from Milani Brothers. This client was billed in June when Bramble performed the service.
13 Performed services for Fitzgerald Enterprises. This client paid $1,390 in advance last month. All services relating to this payment are now completed.
14 Paid $500 cash for a utility bill. This related to June utilities that were accrued at the end of June.
16 Met with a new client, Thunder Bay Technologies. Received $14,900 cash in advance for future services to be performed.
18 Paid semi-monthly salaries for $13,600.
20 Performed services worth $34,700 on account and billed customers.
20 Received a bill for $2,700 for advertising services received during July. The amount is not due until August 15.
23 Performed the first phase of the project for Thunder Bay Technologies. Recognized $12,400 of revenue from the cash advance received July 16.
27 Received $18,600 cash from customers billed on July 20.

Adjustment data:

1. Adjustment of prepaid insurance.
2. Adjustment of prepaid rent.
3. Supplies used, $1,550.
4. Equipment depreciation, $625 per month.
5. Accrual of interest on note payable.
6. Salaries for the second half of July, $13,600, to be paid on August 1.
7. Estimated utilities expense for July, $990 (invoice will be received in August).
8. Income tax for July, $1,490, will be paid in August.

Post to the ledger accounts. (Post entries in the order of journal entries presented in the previous part.)

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