Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

Quo 1 Notcore Marked out of 206.00 Book Transaction Analysis and Trial Balance Mary Baker opened a tax practice on June 1. The following accounts

image text in transcribed
image text in transcribed
Quo 1 Notcore Marked out of 206.00 Book Transaction Analysis and Trial Balance Mary Baker opened a tax practice on June 1. The following accounts will be needed to record her transactions for june Cash Accounts Receivable Office Supplies Tax Library Office Furniture and Futures Accounts Payable Notes Payable: Common Stock Dividends: Professional Fees Earned: Rent Expense, Salaries Expense Advertising Expense: Utilities Expense, and interest Expense. The following transactions occured during the month of June + Bakeropened a business ceding account at a local bank, investing $13.500 in her practice in exchange for common stock 2 Purchased office furniture and futures for 1.30pad 52.000 cash and save an able for the balance 3 Purchased books and software for a taxlibrary on account, $4500 4 Pused office oplies for a 150 5 Parent for 5750 6 Returned 300 of books with defective bindings. The retum reduced the amounted to the supplier 7 led dients for professional Services rendered $1.200 Pa 1.700 on account for the brary term purchased on June 2 Colected 55.000 on account from cients bied one? 10 Paides, 1400 11 Received for readers to be paid in 1300 12 Padstockholders cash as added 13 Padforure, 5160 14 Pads for june on not payable 10 Required .. Prepare journal entries and record the above transactions in Taccounts, and key entries with the number of the transactions b. Prepare a trial balance as of June 30 Journal Entries T.Account Trial balance Date Description Det Crede To como como Type here to search COMMONROE TENSIONS frestur sharepoint.com/sites/LUC HP 401 7958 University Store Required a. Prepare journal entries and record the above transactions in T-accounts, and key entries with the number of the transactions b. Prepare a trial balance as of June 30, Journal Entries TAccounts Trial Balance Notes Payabile Office Furniture and Fixtures Accounts Receivable Bal Bal 14 182 (92 100 112 (14 Salaries Expense Interest Expense Commen Stock 100 Accounts Payable 114 Bal 061 (11) Utilities Expense Advertising Expense Professional Fees Earned Rent Expense (11) al B Dividends Office supplies Tax Library Bal 6 Type here to search frostburg.sharepoint.com/sites/LUC HP CO COMMON PHONE EXTENSIONS Admissions 1201 10 Financial Aid 4301 Payroll 4346 University Billing 4321 (4064) University Store 4341 ICOAT Q CLUTRAL EVENTS SERIES TMC All FAX WWW Quo 1 Notcore Marked out of 206.00 Book Transaction Analysis and Trial Balance Mary Baker opened a tax practice on June 1. The following accounts will be needed to record her transactions for june Cash Accounts Receivable Office Supplies Tax Library Office Furniture and Futures Accounts Payable Notes Payable: Common Stock Dividends: Professional Fees Earned: Rent Expense, Salaries Expense Advertising Expense: Utilities Expense, and interest Expense. The following transactions occured during the month of June + Bakeropened a business ceding account at a local bank, investing $13.500 in her practice in exchange for common stock 2 Purchased office furniture and futures for 1.30pad 52.000 cash and save an able for the balance 3 Purchased books and software for a taxlibrary on account, $4500 4 Pused office oplies for a 150 5 Parent for 5750 6 Returned 300 of books with defective bindings. The retum reduced the amounted to the supplier 7 led dients for professional Services rendered $1.200 Pa 1.700 on account for the brary term purchased on June 2 Colected 55.000 on account from cients bied one? 10 Paides, 1400 11 Received for readers to be paid in 1300 12 Padstockholders cash as added 13 Padforure, 5160 14 Pads for june on not payable 10 Required .. Prepare journal entries and record the above transactions in Taccounts, and key entries with the number of the transactions b. Prepare a trial balance as of June 30 Journal Entries T.Account Trial balance Date Description Det Crede To como como Type here to search COMMONROE TENSIONS frestur sharepoint.com/sites/LUC HP 401 7958 University Store Required a. Prepare journal entries and record the above transactions in T-accounts, and key entries with the number of the transactions b. Prepare a trial balance as of June 30, Journal Entries TAccounts Trial Balance Notes Payabile Office Furniture and Fixtures Accounts Receivable Bal Bal 14 182 (92 100 112 (14 Salaries Expense Interest Expense Commen Stock 100 Accounts Payable 114 Bal 061 (11) Utilities Expense Advertising Expense Professional Fees Earned Rent Expense (11) al B Dividends Office supplies Tax Library Bal 6 Type here to search frostburg.sharepoint.com/sites/LUC HP CO COMMON PHONE EXTENSIONS Admissions 1201 10 Financial Aid 4301 Payroll 4346 University Billing 4321 (4064) University Store 4341 ICOAT Q CLUTRAL EVENTS SERIES TMC All FAX WWW

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access to Expert-Tailored Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image

Step: 3

blur-text-image

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Internal Auditing Assurance & Advisory Services

Authors: Urton L. Anderson, Michael J. Head, Sridhar Ramamoorti, Cris Riddle, Mark Salamasick, Paul J. Sobel

4th Edition

0894139878, 978-0894139871

More Books

Students also viewed these Accounting questions

Question

Solve all questions In a detailed and clear manner

Answered: 1 week ago

Question

=+What do you want them to think?

Answered: 1 week ago

Question

=+Why should they buy this product/service?

Answered: 1 week ago