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PLEASE HELP,!!! On November 1, 2022, the account balances of Wildhorse Equipment Repair were as follows. No. Debit No. Credit 101 Cash $ 2,350 154

PLEASE HELP,!!!
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On November 1, 2022, the account balances of Wildhorse Equipment Repair were as follows. No. Debit No. Credit 101 Cash $ 2,350 154 $1,840 112 Accounts Receivable 4,230 201 2.590 126 Supplies 1.810 209 Accumulated Depreciation-Equipment Accounts Payable Unearned Service Revenue Salaries and Wages Payable Owner's Capital 1.150 153 Equipment 11,040 212 722 301 13,128 $19,430 $19.430 During November, the following summary transactions were completed. Nov. 8 10 12 15 17 Paid $1,750 for salaries due employees, of which $722 is for October salaries, Received $3,430 cash from customers on account. Received $3,080 cash for services performed in November Purchased equipment on account $1.990. Purchased supplies on account $670, Paid creditors on account $2.720. Paid November rent $390. Paid salaries $1,750. Performed services on account and billed customers $1.940 for these services. Received $590 from customers for future service 20 22 25 27 29 Joumalize the November transactions. (List all debit entries before credit entries, Credit account titles are automatically indented when the amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.) Date Account Titles and Explanation Debit Credit Nav Nov. 10 Prepare a trial balance at November 30, a WILDHORSE EQUIPMENT REPAIR Trial Balance Debit Credit Totals Adjustment data consist of: 1. Supplies on hand $1.420. 2. Accrued salaries payable $361. 3. Depreciation for the month is $184. 4. Services related to unearned service revenue of $1.270 were performed. Journalize the adjusting entries. (List all debit entries before credit entries. Credit occount titles are automatically indented when the amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.) No. Date Account Titles and Explanation Debit Credit 1 2 eTextbook and Media Listot Accounts Post the adjusting entries Cash No. 101 Date Explanation Ref Debit Credit Balance Nov. 1 Balance 2.350 Nov. 8 31 1,750 600 Nov. 10 31 3,430 4,030 Nov. 12 31 3080 7.110 Nov. 20 31 2,720 4,390 Nov. 22 31 390 4,000 Nov. 25 31 1,750 2.250 31 590 2840 Nov. 29 Accounts Receivable Date Explanation Nov. 1 Balance No. 112 Balance Ref Debit Credit 4230 Nov. 10 31 3,430 800 Nov. 27 31 1.940 2.740 No. 126 Balance Ref Debit Credit Supplies Date Explanation Nov. 1 Balance Nov. 17 1810 31 670 2480 Adjusting 31 Equipment No. 153 No. 153 Ref Debit Credit Balance 11040 31 1.990 13030 No. 154 Ref Debit Credit Balance Equipment Date Explanation Nov. 1 Balance Nov 15 Accumulated Depreciation- Equipment Date Explanation Now 1 Balance Adjusting Accounts Payable Date Explanation Nov. 1 Balance No. 15 Now 12 1,840 31 No. 201 Ref Debit Credit Balance 2.590 1.990 4.580 31 670 5.250 NON 20 11 2720 2.530 Unearned Service Revenue No. 200 Date Explanation Ref Debit Credit Balance Hollance 1.150 Now 31 590 1.740 Adjusting 11 Salaries and Wages Payable No. 212 Balance Date Explanation Ref Debit Credit No. 212 Date Ref Debit Credit Balance Salaries and Wages Payable Explanation Nov. 1 Balance Nov. 8 722 722 0 31 Ref Debit Credit No. 301 Balance 13.128 No. 407 Balance 3.080 5.020 Ref Debit Credit 31 3080 31 1.940 Adjusting owner's Capital Date Explanation Nov. 1 Balance Service Revenue Date Explanation Nov. 12 Nov. 27 Adjusting Depreciation Expense Date Explanation Adjusting Supplies Expense Date Explanation Adjusting Salaries and Wages Expense Explanation 31 | No. 615 Balance Ref Debit Credit 31 No. 631 Balance Ref Debit Credit 31 No. 726 Date Ref Debit Credit Balance Now 31 1028 1028 Rent Expense Explanation Ref Debit Credit Date Nov. 22 No. 729 Balance 390 31 390 e Textbook and Media List of Accounts Sove for Later Attempts: 0 of 2 used Submit Answer () Prepare an adjusted trial balance, WILDHORSE EQUIPMENT REPAIR Trial Balance Debit Credit Prepare an adjusted trial balance WILDHORSE EQUIPMENT REPAIR Trial Balance Debit Credit Prepare an income statement for November, WILDHORSE EQUIPMENT REPAIR Income Statement Textbook and Media Ustot Accounts Attems of SA Prepare an owner's equity statement for November WILDHORSE EQUIPMENT REPAIR Owner's Equity Statement eTextbook and Media List of Accounts Save for Later Attempts: 0 of 2 used Submit Answer Prepare a balance sheet at November 30.ListAssets in order of uidity) WILDHORSE EQUIPMENT REPAIR Balance Sheet Assets Liabilities and Owner's Equity

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