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structions The trial balance of Isabel's Stitch & Sew on June 3 0 is shown below: ISABEL'S STITCH & SEW Trial Balance June 3 0

structions
The trial balance of Isabel's Stitch & Sew on June 30 is shown below:
ISABEL'S STITCH & SEW
Trial Balance
June 30,2003
Account No.
Debit
Credit
101 Cash
$ 8,750
112 Accounts Receivable
2,320
126 Supplies
1,900
157 Equipment
9,000
201 Accounts Payable
$ 5,500
206 Unearned Revenue
800
301 Isabel Smith, Capital
______
15,670
$21,970
$21,970
======
======
The July transactions were as follows:
July 5
Received $850 cash from customers on account.
10
Billed customers for services performed, $6,300.
15
Paid employee salaries, $1,400.
15
Withdrew $500 for personal use.
16
Performed $600 of services for customers who paid in advance in June.
20
Paid $2,000 to creditors on account.
21
Received $250 for services rendered on a cash basis (i.e., not on account).
26
Purchased supplies on account, at a cost of $350.
29
Invested $600 of personal funds into the business.
30
Paid utilities $900.
Instructions
(a) Enter the opening balances in the ledger accounts as of July 1. Write "Balance" in the explanation space and insert a check mark in the reference column. Provision should be made for the following additional accounts: No.306 Isabel Smith, Drawings, No.426 Service Revenue, No.726 Salaries Expense, and No.732 Utilities Expense.
(b) Journalize the transactions.
(c) Post to the ledger accounts.
(d) Prepare a trial balance as of July 31,2003 solve in excel

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