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Prepare income statement (accrual basis) for month of July Prepare statement of proof of cash by July 31 begin{tabular}{|l|} hline hline Current Assets

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Prepare income statement (accrual basis) for month of July

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Prepare statement of proof of cash by July 31

image text in transcribed \begin{tabular}{|l|} \hline \\ \hline Current Assets \\ \hline Cash \\ \hline Cash Advance Paws Support \\ \hline Booth Permit \\ \hline Cleaning Deposit \\ \hline Utilities \\ \hline Equipment Rental \\ \hline Equipment Rental Deposit \\ \hline Signage \\ \hline Coffee, coffee cups and lids \\ \hline Beverages Inventory \\ \hline Prepaid Beverages and Baked Goods \\ \hline Coffee creamer, sugar, milk \\ \hline Non current assets: \\ \hline Tent \\ \hline Accumulated Depreciation Tent \\ \hline Total assets \\ \hline \\ \hline Liabilities: \\ \hline Booth Permit Payable \\ \hline Utilities Payable \\ \hline Equipment Rental Payable \\ \hline Equipment Rental Deposit Payable \\ \hline Tent Payable \\ \hline Signage Payable \\ \hline Beverages Payable \\ \hline Coffee, coffee cups and lids payable \\ \hline Paws Support Cash Advance \\ \hline Total Liabilities \\ \hline Retained earnings \\ \hline Total Liability plus Equity \\ \hline \end{tabular} Fundralsing_Opportunity. You are in your second year in the BCom program at York University and came back home for the summer. In past summers you have hold several part time jobs. In your spare time, you are a very active fundraiser for Paws Support and their International missions. You had the fundraising idea of operating a booth to sell soft drinks, coffee, crolssants, and other baked goods in the library park where all community events are held between May and August. They Include all sorts of neighbourhood partles that showcase local street art dealers, performers, local shoppes and artists. You approached Paws Support with the idea and a week later you got the approval to create the booth and were given a $2,800 advancement to cover the start up costs. Once you got the funds on May 1st, planning started. Among the activities performed you got donations, permits, signage, tent, display cases, water, electrical connections and the municipal permit for the booth. One of the first steps is to pay in cash on May 1st to the Municipality for the booth permit (cost $560 for the season, 1 day or 4 months same cost, so it is expensed in May) and cleaning fees (pay for a refundable deposit of $280 that will be returned on August 31st If the boot recelves no ticket from the municipality Inspectors). You were elated because the Library will allow your booth to conect and use the Library utilities. Water, Drain, and Electricity connections, use and dismantle after the event had a cost of $700 per month paid in cash on the last day of each month, first payment on May 31st. This fee includes safe storage of the booth and equipment during week days. Next stop was at Equipment Rental to rent display cases, portable sink, warming oven, refrigerator, tables, two coffee markers, and a cash register for $420 per month. For the month of May add $280 for a refundable deposit that will be reimbursed after all the equipment has been returned in good shape (reduce the rent payable on Sep 5th ). Rent is due on the fifth day of the following month (May payment and the deposit are due on June 5th ). On May 1st you ordered a Booth Tent that will last three summers (12 months) for $840 and signage for the booth for $280 that Is Immedlately expensed, paid for both with your MasterCard whose balance will be due on July 2nd. A total of $2,100 has been preorder on May 1st for coffee, coffee cups, Iids, and stir Stix. Dellvery scheduled for May 10th, one third of the total purchase has been used in the month of July. Payment of 50% each are due on May 15th and July 15th. At General Drinks you ordered on account a total of 140 cases of soft drinks per month, to be delivered on the first of each month, for a $3.9 a case. Payment for the total of four months is due on June 30th. At the end of the month there were 6 cases in Inventory. You spoke to the owner of the local bakery to source Croissants and other assorted baked goods to sell for the fundralser. You agreed on dally deliveries on Fridays, Saturdays and Sundays for a total of 420 units per month. You will pay $1.0 for each item on the last day of the month. If demand is high, you will phone the bakery and more units will be delivered on site after 8pm for free. When needed you go to the local supermarket to purchase Coffee Creamer, Sugar and Milk, paying $140 cash during the month. All is used in the month. Every Friday morning you start setting everything up. You have been lucky to recrult other volunteers that will help you set up, manage and dismantle the booth every weekend. You got a schedule that guarantees a minimum of 2 people in the booth at any time. The events during July were successful, everything was sold with only six full cases of soft drinks left. Sales of items for the month was $5,600, there was a donation Jar that had $1,680 which was deposited at month end in the bank. The cash advance will be returned on September 10th together with the total funds ralsed in the summer. To solve the problem assume the opening balance for the month Is $3,920 for cash, $1,260 for Coffee, coffee cups and lids and $2,142.00 for retained earnings. The opening balance of Beverages Inventory is zero. Required: 1. Prepare the statement of proof of cash by July 31st. 2. Prepare the Income Statement (accrual basis) for the Month of July. 3. Prepare the Balance Sheet (accrual basis) as of July 31st. \begin{tabular}{|l|} \hline \\ \hline Revenue \\ \hline Donations \\ \hline Expenses: \\ \hline Booth Permit \\ \hline Cleaning Deposit \\ \hline Utilities \\ \hline Equipment Rental \\ \hline Equipment Rental Deposit \\ \hline Tent \\ \hline Depreciation Tent \\ \hline Signage \\ \hline Coffee, coffee cups and lids \\ \hline Beverages \\ \hline Baked Goods \\ \hline Coffee creamer, sugar, milk \\ \hline Total Expenses \\ \hline Net Income \\ \hline \end{tabular} \begin{tabular}{|l} \hline \\ \hline Opening Balance of Cash \\ \hline Cash received: \\ \hline Paws Support Cash Advance \\ \hline Revenue \\ \hline Donations \\ \hline Cash disbursed: \\ \hline Booth Permit \\ \hline Cleaning Deposit \\ \hline Utilities \\ \hline Equipment Rental \\ \hline Equipment Rental Deposit \\ \hline Tent \\ \hline Depreciation Tent \\ \hline Signage \\ \hline Coffee, coffee cups and lids \\ \hline Beverages \\ \hline Baked Goods \\ \hline Coffee creamer, sugar, milk \\ \hline Ending Balance of Cash \\ \hline \end{tabular}

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