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Using the adjusted trial balance below prepare the asset section of the balance by drag and dropping the appropriate word or number ABC Co. WORKSHEET
Using the adjusted trial balance below prepare the asset section of the balance by drag and dropping the appropriate word or number ABC Co. WORKSHEET FOR THE YEAR ENDED DECEMBER 31, 2019 ACCOUNT TITLES ADJUSTED TRIAL BALANCE DEBIT ($) CREDIT (5) $ 23,800 $ 23,600 $ 30,000 $ 5,000 $ 367,500 $ 272,080 $ 5,400 Accounts Payable Accounts Receivable Accumulated depreciation - Vehicles Advertising Expense Capital, Kory Lee Cash Depreciation Expense Gardening Revenue Gardening Supplies Insurance Expense Interest Revenue Internet Expense Notes Payable Notes Receivable Due within 13 months Prepaid insurance Sunnies Fren ype here to search S 255,000 $ $ 4.500 3,000 S 200 $ 1060 5 10.000 5 5.000 $ 8.000 hp te # $ ? xt 3 E % 5 6 & 7 8 8 9 O 14 2 3 12 E R. { TYU 1 of 15) + cc.coquitlamcollege.com/mod/quiz/attempt.php?attempt=32437&cmid=26344 -CC MyCC Library English (en) Q $ $ 1,340 1,120 2,000 Supplies Expense Telephone Expense Uneamed Revenue Utilities Expense Vehicles Wage Expense Withdrawals - Kory Lee $ 3,000 $ 135,000 $ 155,400 $ 65,000 $ 688,500 $ 688,500 ABC Co. Balance Sheet As at December 31, 2019 4 Assets: Current assets: Cash Accounts Receivable Prepaid insurance Gardening Supplies Total Current Assets 5 $ 272080 23.600 B000 4500 308.10 Non-Current Assets Note cevab Type here to search 3 4 5 6 7 8 8 9 15) coquitlamcollege.com/mod/quiz/attempt.php?attempt=324378 cmid=26344 MyCC Library English (en) - a Sear Non-Current Assets Notes Receivable $ 135.000 Vehicles Less accumulated depreciation $ 1311 LA Total assets 5,000 Property. Plant & Equipment 30.000 105.000 418.180 129 600 No entry this is a current asset 5.400 Physical property and Equipment 442,730 D 41018 here to search hp OS * 3 4 & 4 5 6 a
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