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van Kuhl opens a web consulting business called Kuhl Consulting and completes the following transactions in March. Using the following transactions, record journal entries, create

van Kuhl opens a web consulting business called Kuhl Consulting and completes the following transactions in March. Using the following transactions, record journal entries, create financial statements, and assess the impact of each transaction on the inancial statements.
March 1 Kuhl invested $171,000 cash along with $22,700 in office equipment in the company.
March 2 The company prepaid $12,000 cash for six months' rent for an office. The company's policy is to record prepaid expenses in balance sheet accounts.
March 3 The company made credit purchases of office equipment for $3,700 and office supplies for $1,900. Payment is due within 10 days.
March 6 The company completed services for a client and immediately received $4,700 cash.
March 9 The company completed a $8,200 project on credit for-a client, who must pay within 30 days.
March 12 The company paid $5,600 cash to settle the account payable created on March 3.
March 19 The company paid $5,700 cash for the premium on a 12-month insurance policy. The company's policy is to record prepaid expenses in balance sheet accounts.
March 22 The company received $4,900 cash as partial payment for the work completed on March 9.
March 25 The company completed work for another client for $4,600 on credit.
March 29 Kuh1 withdrew $5,800 cash from the company for personal use.
March 30 The company purchased $1,300 of additional office supplies on credit.
March 31 The company paid $1,200 cash for this month's utility bill.
\table[[Requirement,\table[[General],[Journal]],\table[[General],[Ledger]],Trial Balance,\table[[Income],[Statement]],\table[[Statement],[Owners Equity]],Balance Sheet Impact on]]
Every journal entry must keep the accounting equation in balance. Prepare the journal entries for each of the transactions of Kuhl Consulting, entering the debits before the credits. Each transaction will automatically be posted to the General Ledger and the Trial Balance as soon as you click "Record Entry".
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