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Please see attached it is accounting for nonfinancial managers Kristen Company Adjusted Trial Balance July 31, 2014 No. Account Titles 101 Cash 112 Accounts Receivable

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Please see attached it is accounting for nonfinancial managers

image text in transcribed Kristen Company Adjusted Trial Balance July 31, 2014 No. Account Titles 101 Cash 112 Accounts Receivable 157 Equipment Debits Credits $9,840 8,140 15,900 Accumulated 167 DepreciationEquip. $5,400 201 Accounts Payable 2,220 Unearned Rent 208 Revenue 3,800 311 Common Stock 18,000 320 Retained Earnings 20,260 332 Dividends 12,000 404 Service Revenue 429 Rent Revenue 711 Depreciation Expense 720 Salaries and Wages Expense 732 Utilities Expense Instructions a) Prepare the income statement, retained earnings statement and the classified balance sheet 64,000 6,500 3,700 55,700 14,900 $120,180 $120,180 Kristen CO For the Quarter Ended March 31, 2014 Income Statement Kristen CO Retained Earnings Statement For the Quarter Ended March 31, 2014 Dividends Kristen CO Balance Sheet 31-Jul-14 Account titles Cash Accounts Rec. Supplies Prepaid Insurance Equipment Trail Balance Debit Credit 11,410 5,920 1,250 2,400 Eric Baker P.I., Inc. Worksheet For the Quarter Ended March 31, 2014 Adjustments Adjusted Trail Balance Debit Credit Debit Credit 11,410 1080 Income Statement Debit Credit Balance Sheet Debit Credit 11,410 30,000 7000 480 1,800 30,000 770 600 7,000 480 1,800 30,000 Notes Payable 10,000 10,000 10,000 Accounts Payable 12,350 12,350 12,350 Common Stock 20,000 20,000 20,000 Dividends 600 Service Revenue 600 14,200 1080 600 15,280 15,280 Salaries 2,240 2,240 2,240 Travel Expense 1,300 1,300 1,300 Rent Expense 1,200 1,200 1,200 230 230 770 720 770 720 Miscellaneous Exp. Sup exp Dep exp Acc dep equip Int exp Int payable Insurance exp totals Net Income or loss totals 230 56,550 56,500 770 720 720 300 720 300 300 600 3470 720 3470 300 300 600 58,650 300 600 7,360 7920 15,280 58,650 15,280 51,290 15,280 51,290 Adjusting Journal entries Eric Baker For the Quarter Ended March 31, 2014 Income Statement Mar. 31 31 31 31 31 43,370 7920 51,290 General Journal Eric Baker Retained Earnings Statement For the Quarter Ended March 31, 2014 t-account Retained Earnings Dividends Eric Baker Balance Sheet 31-Mar-14 0 0 beginning 0 net Income - end balance Exercise #3 The adjusted trial balance for Rich Landscape at December 31, 2014, contains the following accounts. Debits Credits Buildings $128,000 Common Stock 80,000 Accounts Receivable 7,540 Retained Earnings 28,000 Prepaid Insurance 4,680 Accumulated Depreciation-Bui 42,600 Cash 18,040 Accounts Payable 12,300 Equipment 62,400 Notes Payable 95,000 Land 67,000 Accumulated Depreciation-Eq 18,720 Insurance Expense 780 Interest Payable 2,600 Depreciation Expense 7,360 Service Revenue 19,180 $295,800 $298,400 Prepare the classified balance sheet Rich Landscape Balance Sheet 31-Dec-14 t-account Retained Earnings Dividends beginning net Income end balanc e ce

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