Question
SANCHEZ COMPUTER CENTER Chart of Accounts- Assets 1000 Cash 1020 Accounts Receivable 1030 Supplies 1080 Computer Shop Equipment 1090 Office Equipment Liabilities 2000 Accounts Payable
SANCHEZ COMPUTER CENTER
Chart of Accounts-
Assets
1000 Cash
1020 Accounts Receivable
1030 Supplies
1080 Computer Shop Equipment
1090 Office Equipment Liabilities
2000 Accounts Payable
Owner's Equity
3000 Freedman, Capital
3010 Freedman, Withdrawls Revenue
4000 Service Revenue Expenses
5010 Advertising Expense
5020 Rent Expense
5030 Utilities Expense
5040 Phone Expense
5050 Supplies Expense
5060 Insurance Expense
5070 Postage Expense
During the month of November the following transactions occurred.
a. Record the following transactions in the general journal and post them to the general ledger. b. Prepare a trial balance as of November 30, 201X.
Assume the following transactions:
Nov. 1 Billed Vita Needle Company $6,800, invoice no. 12675, for services rendered.
Nov. 3 Billed Accu Pac, Inc., $3,900, invoice no. 12676, for services rendered.
Nov. 5 Purchased new shop benches for $1,400 on account from System Design Furniture.
Nov. 9 Received the phone bill, $150.
Nov. 12 Collected $500 of the amount due from Taylor Golf. Nov. 18 Collected $800 of the amount due from Taylor Golf.
Nov. 20 Purchased a fax machine for the office from Multi Systems, Inc., on credit, $450.00.
Step by Step Solution
There are 3 Steps involved in it
Step: 1
Get Instant Access to Expert-Tailored Solutions
See step-by-step solutions with expert insights and AI powered tools for academic success
Step: 2
Step: 3
Ace Your Homework with AI
Get the answers you need in no time with our AI-driven, step-by-step assistance
Get Started