Waterways has two major public-park projects to provide with comprehensive irrigation in one of its service locations this month Job 357 and Job K52 involve 15 acres of landscaped terrain, which will require special-order, sprinkler heads to meet the specifications of the project. Using a job cost system to produce these parts, the following events occurred during December. Raw materials were requisitioned from the company's inventory on December 2 for $5,067: on December 8 for $1.062; and on December 14 for $3.471. In each instance, two-thirds (2/3) of these materials were for 357 and the rest for K52. Six time tickets were turned in for these two projects for a total amount of 18 hours of work. All the workers were paid $18 per hour. The time tickets were dated December 3, December 9, and December 15. On each of those days, 6 labor hours were spent on these jobs, two-thirds (2/3) for 357 and the rest for K52. The predetermined overhead rate is based bn machine hours. The expected machine hour use for the year is 2,106 hours, and the anticipated overhead costs are $842,400 for the year. The machines were used by workers on projects K52 and 57 on December 3, 9, and 15. Six machine hours were used for project K52 (2 each day), and 8.5 machine hours were used for project J57 (2.5 the first day and 3 each of the other days). Both of these special orders were completed on December 15, producing 200 sprinkler heads for 357 and 100 sprinkler heads for K52 Additional job order activities during this period included: Dec 1 Dec 2 Purchased raw materials from Concord Supply Company on account for $53,600. Issued 540,300 of direct materials from the company's inventory to jobs other than K52 and J57 and $3,000 of indirect materials Paid Waterways' factory salaries and wages for $65,500 Paid the factory's water bill of $9.000. Transferred $50.400 of costs from other completed jobs to finished goods, Dec 12 Dec 13 Dec. 18 2 indirect materials Dec 12 Dec. 13 Dec. 18 Paid Waterways' factory salaries and wages for $65,500. Paid the factory's water bill of $9.000. Transferred $50,400 of costs from other completed jobs to finished goods. Paid the factory's electric bill of $11,800 for Waterways' factory. Made adjusting entries forth factory that included accrued property taxes of $12,000, prepaid insurance of $8,900, and accumulated depreciation of $ 16,000. Dec. 21 Dec. 31 Your answer is incorrect. Set up the job cost sheets for Job No. 357 and Job No, K52. Determine the total cost for each manufacturing special order for these jobs. (Round unit costs to 2 decimal places, e.g. 12.25) Job No. 357 Job No. K52 Total Cost $ Unit Cost $ $ Journalize the activities from these job cost sheets in the general journal. Also, journalize the other costs that occurred during this period. (Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem. Round answers to O decimal places, e.g. 5,275.) Date Account Titles and Explanation Debit Credit 12/1 Raw Materials Inventory 53,600 53,600 Accounts Payable 12/2 Work in Process Inventory 5,067 Raw Materials inventory 5,067 (To assign materials to jobs 357 & K52) 12/2 Work in Process Inventory Manufacturing Overhead | TOO UN Raw Materials Inventory (To assign materials to jobs and overhead) 12/3 Work in Process Inventory Fred Factory Labor (To assign labor to jobs 357 & K52) 12/3 Work in Process Inventory Manufacturing Overhead (To assign overhead to jobs 357 & K52) IIIT ON 12/8 Work in Process Inventory Raw Materials Inventory 12/9 Work in Process Inventory Factory Labor (To assign labor to jobs 357 & K52) 12/9 Work In Process Inventory Manufacturing Overhead To assion overhead to jobs 357 & K52) (To assign overhead to jobs 357 & K52) 12/12 Factory Labor Cash 12/13 Manufacturing Overhead Cash 12/14 Work in Process Inventory II DICTION Raw Materials Inventory 12/15 Work in Process Inventory Factory Labor (To assign labor to jobs 357 & K52) 12/15 Work in Process Inventory Manufacturing Overhead (To assign overhead to jobs J57 & K52) 12/15 Finished Goods Inventory Work in Process Inventory (To record completion of jobs 357 & K52) 12/18 Finished Goods Inventory Work in Process Inventory 12/21 Manufacturing Overhead Cash 12/31 Manufacturing Overhead Property Tax Payable Prepaid Insurance Accumulated Depreciation Equipment Accumulated Depreciation Equipment List of Accounts X Your answer is incorrect. Assuming that Manufacturing Overhead has a debit balance of $3,600, determine whether overhead has been under/over applied and make the adjusting entry. (Credit account titles are automatically indented when amount is entered. Do not indent manually) Date Account Titles and Explanation Debit Credit