Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

Recording General Fund Operating Budget and Operating Transactions. The Town of Bedford Falls approved a General Fund operating budget for the fiscal year ending June

Recording General Fund Operating Budget and Operating Transactions. The Town of Bedford Falls approved a General Fund operating budget for the fiscal year ending June 30, 2017. The budget provides for estimated revenues of $2,700,000 as follows: property taxes, $1,900,000; licenses and permits, $350,000; fines and forfeits, $250,000; and intergovernmental (state grants), $200,000. The budget approved appropriations of $2,650,000 as follows: General Government, $500,000; Public Safety, $1,600,000; Public Works, $350,000; Culture and Recreation, $150,000; and Miscellaneous, $50,000. Required A) Prepare the journal entry (or entries), including subsidiary ledger entries, to record the Town of Bedford Falls's General Fund operating budget on July 1, 2016, the beginning of the Town's 2017 fiscal year. B) Prepare journal entries to record the following transactions that occurred during the month of July 2016. 1) Revenues were collected in cash amounting to $31,000 for licenses and permits and $12,000 for fines and forfeits. 2)Supplies were ordered by the following functions in early July 2016 at the estimated costs shown: General Government 7,400 Public Safety 11,300 Public Works 6,100 Culture and Recreation 4,200 Miscellaneous 900 Total 29,900 3) During July 2016, supplies were received at the actual costs shown below and were paid in cash. General Government, Culture and Recreation, and Miscellaneous received all supplies ordered. Public Safety and Public Works received part of the supplies ordered earlier in the month at estimated costs of $10,700 and $5,900, respectively. Actual Cost Estimated Cost General Government 7,300 7,400 Public Safety 10,800 10,700 Public works 6,100 5,900 Culture and Recreation 4,100 4,200 Miscellaneous 900 900 Total 29,200 29,100 C) Calculate and show in good form the amount of budgeted but unrealized revenues in total and from each source as of July 31, 2016. D) Calculate and show in good form the amount of available appropriation in total and for each function as of July 31, 2016. I need the following

1) Revenues were collected in cash amounting to $31,000 for licenses and permits and $12,000 for fines and forfeits.(see above)

date General Journal Debit Credit

2)Revenues were collected in cash amounting to $31,000 for licenses and permits and $12,000 for fines and forfeits.(see above)

date General Journal Debit Credit

3)Record the issuance of the purchase orders and contracts (see above)

date General Journal debit Credit

5) Record the cash paid for expenses

date General Journal debit Credit

A)Prepare the Revenues Ledger (please use the same format)

B)Prepare Appropriations, Expenditure and Encumbrances Ledger (Please follow this format).

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

Operational Review Maximum Results At Efficient Costs

Authors: Rob Reider

3rd Edition

0471228109, 978-0471228103

More Books

Students also viewed these Accounting questions