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please if someone know about this ,thank you ports from the accounting information system. The director of operations has asked you to prepare a report
please if someone know about this ,thank you
ports from the accounting information system. The director of operations has asked you to prepare a report for an afternoon meeting that details all of the property, plant, and equipment for each of the 17 mines. You are confident that this should be an easy task but, upon reviewing the accounting records, you discover that all of the information regarding the assets is maintained in only one location--a general ledger account called Mining Assets! Required Using the elements of critical thinking described on the inside front cover, comment. COMPREHENSIVE PROBLEM All-1-PERPETUAL CHECK FIGURES: 3. Profit-$23,856; Total assets $379,269 Alpine Company L04 Assume it is Monday, May 1, 2020, the first business day of the month, and you have just been hired as the accountant for Alpine Company, which operates with monthly accounting periods. All of the company's ac counting work has been completed through the end of April and its ledgers show April 30 balances. Alpine uses a perpetual system to account for inventory. The terms of all credit sales are 2/10, n/30. During your first month on the job. you record the following transactions on page 2 of each journal. Note: If the Working Papers that accompany this textbook are not being used, the forms needed to complete this problem are available on Connect Required 1. Enter the transactions in the appropriate journals and post when instructed to do so. 2. Prepare a trial balance in the Trial Balance columns of the provided work sheet form and complete the work sheet using the following information. a. Expired insurance, 8553. b. Ending store supplies inventory, $2,632. c. Ending office supplies inventory, 5504. d. Estimated depreciation of store equipment, $567. e. Estimated depreciation of office equipment, $329. f. Ending merchandise inventory, $191,000 AP-49 Appendix Accounting Information Systems 3. Prepare a May classified, multiple-step income statement, a May statement of changes in equity, and a May 31 classified balance sheet. 4. Prepare and post adjusting and closing entries (omit explanations). 5. Prepare a post-closing trial balance. Also prepare a list of the accounts receivable subledger accounts and a list of the accounts payable subledger accounts. 1 4 11 May Issued cheque #34 10 to S&M Management Co. in payment of the May rent, $3,700. Use two lines to record the transaction Charge 80% of the rent to Rent Expense Selling Space, and the balance to Rent Expense, Omice Space 2 Sold merchandise on credit to Essex Company, invoice #8785, 56,050, Cost $3,640 2 Issued a $130 credit momo to Nabors Inc. for defective merchandise sold on April 28 and discarded when returned to inventory (cost $105) for credit. The total selling was $4.730 3 Received a $350 credit memo from Parkay Products for merchandise received on April 29 and returned for credit Purchased on credit from Thompson Supply Co merchandise, 37.100 store supplies, $580, and office supplies $85 Invoice dated May 4. terms 10 EOM 5 Received payment from Nabors Inc. from the sale of April 28, 8 Issued cheque #3411 to Parkay Products to pay for the $7.100 of merchandise received on April 29 (terms 2/10 130) 9 Sold store supplies to the merchant next door at cost for cash. $325 10 Purchased office equipment on credit from Thompson Supply Co., Invoice dated May 10, terms /10 EOM, $4,200 11 Received payment from Essex Company for the May 2 sale Received merchandise and an invoice dated May 10, terms 2/10, 1/30 from Gale Inc. $9.100. 12 Received an $850 credit memo from Thompson Supply Co for defective office equipment received on May 10 and returned for credit. 15 issued cheque #3412, payable to Payroll. In payment of sales salaries. $5,500, and office salaries, $3,600. For simplicity, we assume one cheque 15 Cash sales for the first half of the month, $61,000. Cost $36,600. Such sales are normally recorded denly They are recorded only twice in this problem to reduce the repetitive entries. 16 Sold merchandise on credit to Essex Company, invoice #8786, $3,700 Cost $2.220 17 Received merchandise and an invoice dated May 14. terms 2010, 60, from Chandler Corp. $14.700. 19 Issued cheque 73413 to Gale Inc. in payment of its May 10 invoice. 22 Sold merchandise to Oscar Services, invoice #8787. $7.100. Cost $4,260. 23 Issued cheque 134 14 to Chandler Corp. In payment of its May 14 invoice. 24 Purchased on credit from Thompson Supply Co. merchandise. 59,200, store supplies. $630; and office supplies. $280. Invoice datod May 24 terms 1/10 EOM 25 Received merchandise and an invoice dated May 23, terms 2/10, 1/30, from Parkay Products, $3.100. 26 Sold merchandise on credit to Deaver Corp. invoice #8788. $12,500. Cost 57.500. 26 Issued cheque #3415 to Trinity Power in payment of the April electric bill, $1.350. 29 The owner, Clint Barry, withdrew $7.000 from the business for personal use, using cheque #3416. 30 Received payment from Oscar Services for the May 22 sale, 30 Issued cheque #3417 payable to Payroll, in payment of sales salaries, $5,500, and office salaries, $3,600. For simplicity, we assume one cheque 31 Cash sales for the last half of the month were $61,000. Cost $36,600 31 Post to the customer and creditor accounts. Also, post individual items that are not included in column totals of the end of the month to the general ledger accounts, Normally, such items are posted daily, but you are asked to post them only once in this problem because they are few in number 31 Foot and crossfoot the joumals and move the month-end postings Step by Step Solution
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