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1. prepare retained earnings statement for the year. 2. prepare a classified balance sheet as of...
1. prepare a multiple-step income statement for the year. Problem 3-04 The trial balance of Kingbird Fashion Center contained the following accounts at November 30, the end of the company's fiscal year. Credit KINGBIRD FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $33,600 Accounts Receivable 37,300 Inventory 48,600 Supplies 9,100 Equipment 140,200 Accumulated Depreciation Equipment Notes Payable Accounts Payable Common Stock Retained Eamings Sales Revenue Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense...
1. journalize the closing entries 2. prepare a post-closing trial balance Problem 3-04 The trial balance of Kingbird Fashion Center contained the following accounts at November 30, the end of the company's fiscal year. Credit KINGBIRD FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $33,600 Accounts Receivable 37,300 Inventory 48,600 Supplies 9,100 Equipment 140,200 Accumulated Depreciation Equipment Notes Payable Accounts Payable Common Stock Retained Earnings Sales Revenue Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and...
1. journalize the closing entries Problem 3-04 The trial balance of Kingbird Fashion Center contained the following accounts at November 30, the end of the company's fiscal year. Credit KINGBIRD FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $33,600 Accounts Receivable 37,300 Inventory 48,600 Supplies 9,100 Equipment 140,200 Accumulated Depreciation Equipment Notes Payable Accounts Payable Common Stock Retained Earnings Sales Revenue Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 138,200 Advertising Expense 27,700...
prepare an adjusted trial balance The trial balance of Sheffield Fashion Center contained the following accounts at November 30, the end of the company's fiscal year Credit SHEFFIELD FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $23.420 Accounts Receivabla 37,190 Inventory 49,490 Supplies 9.990 Equipment 139.960 Accumulated Depreciation-Equipment Notes Payable Accounts Payable Common Stock Retained Earnings Sales Revenue Sales Returns and Allowances 4.200 Cost of Goods Sold 495,400 Salaries and Wagas Expense 128.360 Advertising Expense 27,640 Utilities Expenses 15,640...
The trial balance of Bellemy Fashion Center contained the following accounts at November 30, the end of the company’s fiscal year. Bellemy Fashion Center Trial Balance November 30, 2020 Debit Credit Cash $ 28,700 Accounts Receivable 33,700 Inventory 45,000 Supplies 5,500 Equipment 133,000 Accumulated Depreciation—Equipment $ 24,000 Notes Payable 51,000 Accounts Payable 48,500 Common Stock 90,000 Retained Earnings 8,000 Sales Revenue 757,200 Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 140,000 Advertising Expense 26,400 Utilities Expenses...
Balance Sheet November 30, 2020 Assets Current Assets Cash Account Received Swaraary Supplies Total Cument Anak Egulament Lens Accumulated Depresion Equipment Totals Liabilities and Stockholders' Equity Current Liabi Accounts Payas Interest Payable Notes Payable Total Current Labels Long-term Lab 는 The trial balance of Sheffield Fashion Center contained the following accounts at November 30, the end of the company's fiscal year Credit SHEFFIELD FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $23.420 Accounts Receivabla 37,190 Inventory 49,490 Supplies 9.990...
please help and if could explain Problem 3-04 The trial balance of Vaughn Fashion Center contained the following accounts at November 30, the end of the company's fiscal year. Credit VAUGHN FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $33,330 Accounts Receivable 37,120 Inventory 48,420 Supplies 8,920 Equipment 139,840 Accumulated Depreciation Equipment Notes Payable Accounts Payable Common Stock Retained Earnings Sales Revenue Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 138,440 Advertising Expense...
The trial balance of Bramble Fashion Center contained the following accounts at November 30, the end of the company’s fiscal year. BRAMBLE FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Credit Cash $33,320 Accounts Receivable 37,090 Inventory 48,390 Supplies 8,890 Equipment 139,780 Accumulated Depreciation-Equipment $26,460 Notes Payable 54,390 Accounts Payable 51,890 Common Stock 93,390 Retained Earnings 11,390 Sales Revenue 765,210 Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 138,480 Advertising Expense 27,630 Utilities Expenses...
The trial balance of Bellemy Fashion Center contained the following accounts at November 30, the end of the company’s fiscal year. Bellemy Fashion Center Trial Balance November 30, 2020 Debit Credit Cash $ 28,700 Accounts Receivable 33,700 Inventory 45,000 Supplies 5,500 Equipment 133,000 Accumulated Depreciation—Equipment $ 24,000 Notes Payable 51,000 Accounts Payable 48,500 Common Stock 90,000 Retained Earnings 8,000 Sales Revenue 757,200 Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 140,000 Advertising Expense 26,400 Utilities Expenses...
Credit NOVAK FASHION CENTER TRIAL BALANCE NOVEMBER 30, 2020 Debit Cash $33,780 Accounts Receivable 37,420 Inventory 48,720 Supplies 9,220 Equipment 140,440 Accumulated Depreciation Equipment Notes Payable Accounts Payable Common Stock Retained Earnings Sales Revenue Sales Returns and Allowances 4,200 Cost of Goods Sold 495,400 Salaries and Wages Expense 138,040 Advertising Expense 27,760 Utilities Expenses 15,960 Maintenance and Repairs Expense 12,100 Delivery Expense 16,700 Rent Expense 25,360 Totals $1,005,100 $26,720 54,720 52.220 93,720 11,720 766,000 $1,005,100 Adjustment data: 1. Supplies on...