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write the journal entries like the example of the second picture for each transaction. will like. thanks! Aracel Engineering completed the following transactions in the

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image text in transcribedwrite the journal entries like the example of the second picture for each transaction. will like. thanks!
Aracel Engineering completed the following transactions in the month of June. a. Jenna Aracel, the owner, invested $100,000 cash, office equipment with a value of $6,000, and b. The company purchased ad worh 000 ar a otio be paying s6.300 cash and signing a long- for an term note payable for $42,700. c. The company purchased a portable building with $55,000 cash and moved it onto the land acquired in b. d. The company paid $3,000 cash for the premium on an 18-month insurance policy. e. The company completed and delivered a set of plans for a client and collected $6,200 cash. f. The company purchased $20,000 of additional drafting equipment by paying S9,500 cash and signing a long-term note payable for $10,500. g. The company completed $14,000 of engineering services for a client. This amount is to be received in 30 days h. The company purchased $1,150 of additional office equipment on credit. i. The company completed engineering services for $22,000 on credit j. The company received a bill for rent of equipment that was used on a recently completed job. The $1,333 rent cost must be paid within 30 days. k. The company collected $7,000 cash in partial payment from the client described in transaction g I. The company paid $1,200 cash for wages to a drafting assistant. m. The company paid $1,150 cash to settle the account payable created in transaction h. n. The company paid $925 cash for minor maintenance of its drafting equipment o. The company paid $9,480 cash in dividends p. The company paid $1,200 cash for wages to a drafting assistant g. The company paid $2,500 cash for advertisements on the Web during June 2. Open the ledger accounts for the account tiles referred in part 1 and post the journal entries from part 1 to the ledger accounts. (Do not skip lines, Enter transactions in chronological ordar) 250: Notes Payable 101: Cash Balance Credit Debit Transaction Credit Debit Transaction 106: Accounts Receivable 07: Common Stock Debit Credit Balance Transaction Debit Credit Balance

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