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Use Excel to prepare in good form a balance sheet for the General Fund as of December 31, 2017. Follow the format shown in Illustration
Use Excel to prepare in good form a balance sheet for the General Fund as of December 31, 2017. Follow the format shown in Illustration 4-3 of Reck and Lowensohn, Accounting for Governmental & Nonprofit Entities, 17th edition textbook (hereafter referred to as the textbook.)
City of Smithville | |||
General Fund | |||
Post-closing Trial Balance | |||
For year 2017 | |||
Debits | Credits | ||
Cash | $ 268,302 | ||
Taxes Receivable-Delinquent | 193,371 | ||
Allowance for Uncollectible Delinquent Taxes | $ 109,730 | ||
Interest and Penalties Receivable on Taxes | 16,840 | ||
Allowance for Uncollectible Interest and Penalties | 15,226 | ||
Due from State Government | 115,000 | ||
Vouchers Payable | 8,804 | ||
Due to Federal Government | 8,850 | ||
Due to State Government | 3,413 | ||
Fund Balance-Restricted-Public Safety | 21,000 | ||
Fund Balance-Committed-General Government | 30,000 | ||
Fund Balance-Committed-Public Works | 17,000 | ||
Fund Balance-Assigned-Culture and Recreation | 56,800 | ||
Fund Balance-Unassigned | 351,623 | ||
Budgetary Fund Balance | 35,570 | ||
Encumbrances Outstanding | 1,181,348 | ||
Estimated Revenues | 3,204,070 | ||
Revenues | 3,205,364 | ||
Appropriations | 3,247,200 | ||
Expenditures | 3,210,997 | ||
Encumbrances | 1,181,348 | ||
Totals for all accounts | $ 8,240,928 | $ 8,240,928 |
The format is:
ILLUSTRATION 4-4 TOWN OF BRIGHTON General Fund Balance Sheet December 31, 2020 Assets Cash $578,402 Taxes receivable-delinquent $345,023 Less: Allowance for uncollectible delinquent taxes 81,982 263,041 Interest and penalties receivable on taxes 17,900 Less: Allowance for uncollectible interest and penalties 2,655 15,245 Total Assets $856,688 Liabilities, Deferred Inflows of Resources, and Fund Balances Liabilities: Vouchers payable $302,800 Due to federal government 26,520 Due to state government 6,740 Due to other funds 5,000 Total Liabilities $341,060 Deferred inflows of resources-unavailable revenues 278,286 Fund Balances: Committed-culture and recreation 17,500 Assigned-public safety 23,700 Unassigned 196,142 237,342 Total Fund Balances Total Liabilities, Deferred Inflows of Resources, and Fund Balances $856,688Step by Step Solution
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