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Problem 2-2A Preparing and posting journal entries; preparing a trial balance LO C3, C4, A1, P1, P2 Aracel Engineering completed the following transactions in the
Problem 2-2A Preparing and posting journal entries; preparing a trial balance LO C3, C4, A1, P1, P2 Aracel Engineering completed the following transactions in the month of June. a. Jenna Aracel, the owner, invested $175,000 cash, office equipment with a value of $9,700, and $64,000 of drafting equipment to launch the company in exchange for common stock. b. The company purchased land worth $51,000 for an office by paying $7,600 cash and signing a long-term note payable for $43,400. c. The company purchased a portable building with $52,000 cash and moved it onto the land acquired in b. d. The company paid $4,100 cash for the premium on an 18-month insurance policy. e. The company completed and delivered a set of plans for a client and collected $9,800 cash. f. The company purchased $34,000 of additional drafting equipment by paying $11,700 cash and signing a long-term note payable for $22,300. g. The company completed $15,000 of engineering services for a client. This amount is to be received in 30 days. h. The company purchased $1,450 of additional office equipment on credit. i. The company completed engineering services for $28,000 on credit. j. The company received a bill for rent of equipment that was used on a recently completed job. The $1,483 rent cost must be paid within 30 days. k. The company collected $10,000 cash in partial payment from the client described in transaction g. 1. The company paid $2,200 cash for wages to a drafting assistant. m. The company paid $1,450 cash to settle the account payable created in transaction h. n. The company paid $1,195 cash for minor maintenance of its drafting equipment. o. The company paid a $9,640 cash dividend. p. The company paid $1,800 cash for wages to a drafting assistant. q. The company paid $2,700 cash for advertisements on the Web during June. Required: 1. Prepare general journal entries to record these transactions using the following titles: Cash (101); Accounts Receivable (106); Prepaid Insurance (108); Office Equipment (163); Drafting Equipment (164); Building (170); Land (172); Accounts Payable (201); Notes Payable (250); Common Stock (307); Dividends (319); Engineering Fees Earned (402); Wages Expense (601); Equipment Rental Expense (602); Advertising Expense (603); and Repairs Expense (604). 2. Post the journal entries from part 1 to the ledger accounts. 3. Prepare a trial balance as of the end of June. I POPOTY DO VINO p. The company paid $1,800 cash for wages to a drafting assistant. q. The company paid $2,700 cash for advertisements on the Web during June. Required: 1. Prepare general journal entries to record these transactions using the following titles: Cash (101); Accounts Receivable (106); Prepaid Insurance (108); Office Equipment (163); Drafting Equipment (164); Building (170); Land (172); Accounts Payable (201); Notes Payable (250); Common Stock (307); Dividends (319); Engineering Fees Earned (402); Wages Expense (601); Equipment Rental Expense (602); Advertising Expense (603); and Repairs Expense (604). 2. Post the journal entries from part 1 to the ledger accounts. 3. Prepare a trial balance as of the end of June. Complete this question by entering your answers in the tabs below. Required 1 Required 2 Required 3 Prepare general journal entries to record these transactions using the following titles: Cash (101); Accounts Receivable (106); Prepaid Insurance (108); Office Equipment (163); Drafting Equipment (164); Building (170); Land (172); Accounts Payable (201); Notes Payable (250); Common Stock (307); Dividends (319); Engineering Fees Earned (402); Wages Expense (601); Equipment Rental Expense (602); Advertising Expense (603); and Repairs Expense (604). Show less View transaction list View journal entry worksheet No Tranasaction Debit Credit Account Title No Transaction Recorded No Transaction Recorded Required: 1. Prepare general journal entries to record these transactions using the following titles: Cash (101); Accounts Receivable (106); Prepaid Insurance (108); Office Equipment (163); Drafting Equipment (164); Building (170); Land (172); Accounts Payable (201); Notes Payable (250); Common Stock (307); Dividends (319); Engineering Fees Earned (402); Wages Expense (601); Equipment Rental Expense (602); Advertising Expense (603); and Repairs Expense (604). 2. Post the journal entries from part 1 to the ledger accounts. 3. Prepare a trial balance as of the end of June. Complete this question by entering your answers in the tabs below. Required Required Required Post the journal entries from part 1 to the ledger accounts. 101: Cash Debit Credit 106: Accounts Receivable Transaction Debit Credit Balance Transaction Balance 108: Prepaid Insurance Transaction Debit Credit 163: Office Equipment Transaction Debit Credit Balance Balance 164: Drafting Equipment 170: Building 164: Drafting Equipment Transaction Debit Credit Balance 170: Building Debit Credit Transaction Balance 172: Land Debit Credit 201: Accounts Payable Transaction Debit Credit Transaction Balance Balance 250: Notes Payable Debit Credit 307: Common Stock Debit Credit Transaction Balance Transaction Balance 319: Dividends Debit Credit 402: Engineering Fees Earned Transaction Debit Credit Balance Transaction Balance 601: Wages Expense Transaction Debit Credit 602: Equipment Rental Expense Transaction Debit Credit Balance Balance 603: Advertising Expense Transaction Debit Credit Balance 604: Repairs Expense Transaction Debit Credit Balance Required: 1. Prepare general journal entries to record these transactions using the following titles: Cash (101); Accounts Receivable (106); Prepaid Insurance (108); Office Equipment (163); Drafting Equipment (164); Building (170); Land (172); Accounts Payable (201); Notes Payable (250); Common Stock (307); Dividends (319); Engineering Fees Earned (402); Wages Expense (601); Equipment Rental Expense (602); Advertising Expense (603); and Repairs Expense (604). 2. Post the journal entries from part 1 to the ledger accounts. 3. Prepare a trial balance as of the end of June. Complete this question by entering your answers in the tabs below. Required Required Required Prepare a trial balance as of the end of June. ARACEL ENGINEERING Trial Balance June 30 Debit Credit Totals $ 0 $ 0
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