Question
The following four-column accounts of Tanya PaydenTanya Payden, CPA have been opened for you: Cash, 110; Accounts Receivable, 120; Office Supplies, 130; Office Furniture, 140;
The following four-column accounts of Tanya PaydenTanya Payden, CPA have been opened for you: Cash, 110; Accounts Receivable, 120; Office Supplies, 130; Office Furniture, 140; Accounts Payable, 210; Utilities Payable, 220; Common Stock, 310; Dividends, 320; Service Revenue, 410; Salaries Expense, 510; Rent Expense, 520; and Utilities Expense, 530. Journalize the transactions and then post the journal entries to the four-column accounts. Explanations are not required for the journal entries. Keep a running balance in each account. Assume the journal entries are recorded on page 10 of the journal.
2. Prepare the trial balance as of JuneJune 3030, 20182018.
Requirement 1. Journalize the transactions and then post the journal entries to the four-column accounts. Keep a running balance in each account. Assume the journal entries are recorded on page 10 of the journal. (Record debits first, then credits. Exclude explanations from journal entries.)
Begin by journalizing the transactions.
JuneJune
1:
PaydenPayden
opened an accounting firm by contributing
$ 16 comma 100$16,100
cash and office furniture with a fair market value of
$ 5 comma 200$5,200
in exchange for common stock. Prepare a compound entry.
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| Accounts | Debit | Credit |
Jun. 1 | Cash | 16,100 |
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| Office Furniture | 5,200 |
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| Common Stock |
| 21,300 |
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JuneJune
5: Paid monthly rent of
$ 1 comma 500$1,500.
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Date | Accounts | Debit | Credit |
Jun. 5 | Rent Expense | 1,500 |
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| Cash |
| 1,500 |
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JuneJune
9: Purchased office supplies on account,
$ 900$900.
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Date | Accounts | Debit | Credit |
Jun. 9 | Office Supplies | 900 |
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| Accounts Payable |
| 900 |
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JuneJune
14: Paid employee's salary,
$ 1 comma 600$1,600.
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Date | Accounts | Debit | Credit |
Jun. 14 | Salaries Expense | 1,600 |
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| Cash |
| 1,600 |
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JuneJune
18: Received a bill for utilities to be paid next month,
$ 240$240.
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Date | Accounts | Debit | Credit |
Jun. 18 | Utilities Expense | 240 |
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| Utilities Payable |
| 240 |
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JuneJune
21: Paid
$ 500$500
of the account payable created on
JuneJune
9.
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Date | Accounts | Debit | Credit |
Jun. 21 | Accounts Payable | 500 |
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| Cash |
| 500 |
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JuneJune
25: Performed accounting services on account,
$ 6 comma 000$6,000.
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Date | Accounts | Debit | Credit |
Jun. 25 | Accounts Receivable | 6,000 |
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| Service Revenue |
| 6,000 |
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JuneJune
28: Paid cash dividends of
$ 6 comma 800$6,800.
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Date | Accounts | Debit | Credit |
Jun. 28 | Dividends | 6,800 |
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| Cash |
| 6,800 |
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Now post to the four-column accounts. Keep a running balance in each account. Assume the journal entries are recorded on page 10 of the journal. (If a box is not used in the table, leave the box empty; do not enter a zero. Compute the new balance for each account after posting the transaction.)
JuneJune
1:
PaydenPayden
opened an accounting firm by investing
$ 16 comma 100$16,100
cash and office furniture valued at
$ 5 comma 200$5,200
in exchange for common stock.
Review the journal entry you prepared above.
LOADING...
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CASH |
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| Account No. 110 | |
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| Balance | |
Date | Item | Post. Ref. | Debit | Credit | Debit | Credit |
2018 |
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Jun. 1 |
| J10 | 16,100 |
| 16,100 |
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OFFICE FURNITURE |
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| Account No. 140 | ||
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| Balance | |
Date | Item | Post. Ref. | Debit | Credit | Debit | Credit |
2018 |
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Jun. 1 |
| J10 | 5,200 |
| 5,200 |
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COMMON STOCK |
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| Account No. 310 | ||
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| Balance | |
Date | Item | Post. Ref. | Debit | Credit | Debit | Credit |
2018 |
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Jun. 1 |
| J10 |
| 21,300 |
| 21,300 |
Select the posting references in the journal for the transaction you posted in the preceding step.
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Date | Accounts | Post. Ref. | Debit | Credit |
Jun. 1 | Cash | 110 | 16,100 |
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| Office Furniture | 140 | 5,200 |
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| Common Stock | 310 |
| 21,300 |
JuneJune
5: Paid monthly rent of
$ 1 comma 500$1,500.
Review the journal entry you prepared above.
LOADING...
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Copy to Clipboard... | + |
CASH |
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| Account No. 110 | |
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| Balance | |
Date | Item | Post. Ref. | Debit | Credit | Debit | Credit |
2018 |
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Jun. 1 |
| J10 | 16,100 |
| 16,100 |
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Jun. 5 |
| J10 |
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RENT EXPENSE |
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| Account No. 520 | ||
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| Balance | |
Date | Item | Post. Ref. | Debit | Credit | Debit | Credit |
2018 |
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Jun. 5 |
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