question archive READ EVERYTHING AND ADDRESS ALL QUESTIONS! LABEL EVERYTHING Accounting Comprehensive Problem 1
Subject:BusinessPrice: Bought3
READ EVERYTHING AND ADDRESS ALL QUESTIONS! LABEL EVERYTHING
Accounting Comprehensive Problem 1.
1. Create a Journal
1. C. |
Journalize each of the May transactions in the two-column journal starting on Page 5 of the journal. Refer to the Chart of Accounts for exact wording of account titles. (Do not insert the account numbers in the journal at this time.) |
||||||
2. B. |
Add the appropriate posting reference to the journal in CengageNOW. |
||||||
6. A. |
Journalize the adjusting entries on Page 7 of the journal. Refer to the Chart of Accounts for exact wording of account titles. |
||||||
6. C. |
Add the appropriate posting reference to the journal in CengageNOW.
2. Create A Ledger
and save the Excel file to your computer. Use the spreadsheet to post the May transactions from the journal to a ledger of four-column accounts. Be sure to save your work in Excel as it will be used to complete the following steps in Part 1 of this problem as well as steps in Part 2 of this problem. Your input into the spreadsheet will not be included in your grade in CengageNOW on this problem.
|
3. Prepape a Unadjusted Trial Balance
Record the following transactions on Page 6 of the journal:
|
Provided services on account for the period May 16–20, $4,820. |
||||||||||||
|
Received cash from cash clients for fees earned for the period May 17–23, $7,900. |
||||||||||||
|
|||||||||||||
|
|||||||||||||
|
|||||||||||||
|
|||||||||||||
|
Received cash from cash clients for fees earned for the period May 26–31, $3,300. |
||||||||||||
|
Provided services on account for the remainder of May, $2,650. |
||||||||||||
|
31 |
||||||||||||
|
Required: |
||||||||||||
1. |
The chart of accounts is shown in a separate panel and the post-closing trial balance as of April 30, 2019, is shown below.
|
||||||||||||
2. |
Post the journal entries on pages 5 and 6 of the journal to the ledger of four-column accounts.
|
||||||||||||
3. |
Prepare an unadjusted trial balance. Accounts with zero balances can be left blank. |
||||||||||||
4. |
At the end of May, the following adjustment data were assembled. Analyze and use these data to complete parts (5) and (6).
|
||||||||||||
5. |
(Optional) On your own paper or spreadsheet, enter the unadjusted trial balance on a 10-column end-of-period spreadsheet (work sheet), and complete the spreadsheet. Find a blank end-of-period work sheet in the Excel spreadsheet you previously downloaded. |
||||||||||||
6. |
|
||||||||||||
7. |
Prepare an adjusted trial balance. Accounts with zero balances can be left blank. |
Kelly Consulting
POST-CLOSING TRIAL BALANCE
April 30, 2019
|
ACCOUNT TITLE |
DEBIT |
CREDIT |
1 |
Cash |
22,100.00 |
|
2 |
Accounts Receivable |
3,400.00 |
|
3 |
Supplies |
1,350.00 |
|
4 |
Prepaid Rent |
3,200.00 |
|
5 |
Prepaid Insurance |
1,500.00 |
|
6 |
Office Equipment |
14,500.00 |
|
7 |
Accumulated Depreciation |
|
330.00 |
8 |
Accounts Payable |
|
800.00 |
9 |
Salaries Payable |
|
120.00 |
10 |
Unearned Fees |
|
2,500.00 |
11 |
Kelly Pitney, Capital |
|
42,300.00 |
12 |
Totals |
46,050.00 |
46,050.00 |