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Problem 3-1A Deanna Nardelli started her own consulting firm, Nardelli Consulting, on May 1, 2017. The trial balance at May 31 is as follows. NARDELLI

Problem 3-1A

Deanna Nardelli started her own consulting firm, Nardelli Consulting, on May 1, 2017. The trial balance at May 31 is as follows.

NARDELLI CONSULTING Trial Balance May 31, 2017

Account Number Debit Credit
101 Cash $ 4,600
112 Accounts Receivable 6,000
126 Supplies 1,900
130 Prepaid Insurance 2,400
149 Equipment 11,400
201 Accounts Payable $ 4,500
209 Unearned Service Revenue 2,000
311 Common Stock 16,600
400 Service Revenue 7,600
726 Salaries and Wages Expense 3,300
729 Rent Expense 1,100
$30,700 $30,700
In addition to those accounts listed on the trial balance, the chart of accounts for Nardelli Consulting also contains the following accounts and account numbers: No. 150 Accumulated DepreciationEquipment, No. 212 Salaries and Wages Payable, No. 631 Supplies Expense, No. 717 Depreciation Expense, No. 722 Insurance Expense, and No. 732 Utilities Expense. Other data:
1. $800 of supplies have been used during the month.
2. Utilities expense incurred but not paid on May 31, 2017, $200.
3. The insurance policy is for 2 years.
4. $500 of the balance in the unearned service revenue account remains unearned at the end of the month.
5. May 31 is a Wednesday, and employees are paid on Fridays. Nardelli Consulting has two employees, who are paid $1,100 each for a 5-day work week.
6. The equipment has a 5-year life with no salvage value. It is being depreciated at $190 per month for 60 months.
7. Invoices representing $1,500 of services performed during the month have not been recorded as of May 31.
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Prepare the adjusting entries for the month of May. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.)

No.

Date

Account Titles and Explanation

Debit

Credit

1. May 31

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2. May 31

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3. May 31

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4. May 31

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5. May 31

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6. May 31

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7. May 31

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SHOW LIST OF ACCOUNTS

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Enter the totals from the trial balance as beginning account balances. Post the adjusting entries to the ledger accounts. (Post entries in the order of journal entries presented in the previous part.)

Cash

No. 101

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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Accounts Receivable

No. 112

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Supplies

No. 126

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Prepaid Insurance

No. 130

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Equipment

No. 149

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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Accumulated DepreciationEquipment

No. 150

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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Accounts Payable

No. 201

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Unearned Service Revenue

No. 209

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Salaries and Wages Payable

No. 212

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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Common Stock

No. 311

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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Service Revenue

No. 400

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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May 31

Adjusting

J4

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Supplies Expense

No. 631

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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Depreciation Expense

No. 717

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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Insurance Expense

No. 722

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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Salaries and Wages Expense

No. 726

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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May 31

Adjusting

J4

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Rent Expense

No. 729

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Balance

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Utilities Expense

No. 736

Date

Explanation

Ref

Debit

Credit

Balance

May 31

Adjusting

J4

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SHOW LIST OF ACCOUNTS

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Prepare an adjusted trial balance at May 31, 2017.
NARDELLI CONSULTING Adjusted Trial Balance

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Debit

Credit

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$

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$

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Totals $

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$

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SHOW LIST OF ACCOUNTS

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