PLUSWeygandt, Financial Accounting, 10e ESOURCES Brief Exercise 2-8 Selected journal entries for the Nikolal Company are...
Weygandt, Financial Accounting, 10e tice Assignment Gradebook ORIONDownloadable eTextbook ment CALCULAT Brief Exercise 2-10 An inexperienced bookkeeper prepared the following trial balance Erika Company Trial balance December 31, 2019 Debit Credit Cash Prepaid Insurance Accounts Payable Unearned Service Revenue Common Stock Dividends Service Revenue Salaries and Wages Expense Rent Expense $16,800 $3,500 3,000 4,200 13,000 4,500 25,600 18,600 2,400 $52,000 Prepare a correct trial balance, assuming all account balances are normal. $39,600 Erika Company Trial balance Debit Credit
Weygandt, Financial& Managerial Accounting. 2 1 Unread) BACK Brief Exercise 2-9 From the ledger balances given below, prepare a trial balance for the Fevre Company at June 30, 2017. All account belances are normal. Accounts Payable $8,750, Cash $8,000, Common Stock $22,800, Dividends $2,550, Equipment $18,050, Service Revenue $7,750, Accounts Receivable $4,750, Salaries and Wages Expense $3,200, and Rent Expense $2,750 FAVRE COMPANY Trial Balance Debit Credit Totals SHOW LEST OP ACCOUNTS Question Attempts:O of 1 used E FOR LATERSUBAET...
Brief Exercise 2-08 Selected transactions for the Sunland Bryce Company are presented in journal form below. Date May 5 Accounts Receivable Account Titles and Explanation Ref. Debit Credit 5,900 Service Revenue 5,900 Billed for services performed) 12 Cash 4,300 Accounts Receivable 4,300 Received cash in payment of account) 15 Cash 3,000 Service Revenue 3,000 (Recelved cash for services performed) Post the transactions using the standard form of account. (Post entries in the order presented in the problem statement.) Date Explanation...
US Weygandt, Financial Accounting, 10e ES Account Titles and Explanation Ref. Deblt 5,000 May 5 Accounts Receivable Service Revenue 5,000 (Billed for services performed) 12 Cash 2,100 Accounts Receivable 2,100 (Received cash in payment of account) 15 Cash 3,200 Service Revenue 3,200 (Recelved cash for services performed) Post the transactions to T-accounts. Make one T-account for each tem and determine each account's ending balance Cash 2,100 /12 3,2005/15 5,300 Ending Bal 5/12 5/15 3,200 Ending Bal. 5,300 Accounts Receivable 5/5...
Exercise 2-11 Selected transactions from the journal of Cheyenne Corp., are presented below. Credit Debit 45,900 45,900 20,655 20,655 38,250 Date Account Titles and Explanation Aug. 1 Cash Common Stock (Investment of cash for stock) 10 Cash Service Revenue (Received cash for services performed) 12 Equipment Cash Notes Payable (Purchased office equipment for cash and notes payable) 25 Account Receivable Service Revenue (Billed clients for services performed) 31 Cash Accounts Receivable (Receipt of cash on account) 6,120 32,130 12,240 12,240...
Brief Exercise 2-10 An inexperienced bookkeeper prepared the following trial balance Kingbird, Inc. Trial balance December 31, 2019 Debit Credit Cash Prepaid Insurance Accounts Payable Unearned Service Revenue Common Stock Dividends Service Revenue Salaries and Wages Expense Rent Expense $19,250 $2,800 4,750 5,950 15,450 6,250 28,050 21,050 4,850 $62,150 $46,250 Prepare a correct trial balance, assuming all account balances are normal Prepare a correct trial balance, assuming all account balances are normal. Kingbird, Inc. Trlal balance Debit Credit Totals
Post the adjusting entries to the ledger accounts. Enter the totals from the trial balance as beginning account balances. (Post entries in the order of journal entries presented in the previous part.) arance as beginni Cash Date Explanation Ref. Debit No. 101 Balance Credit May 31 Balance Accounts Receivable Date Explanation No. 112 Debit Credit May 31 Balance > May 31 Adjusting I Supplies Date Explanation Balance May 31 - = > May 31 Adjusting Prepaid Insurance Date Explanation May...
Paloma Company shows the following balances in selected accounts of its adjusted trial balance. Paloma Company shows the following balances in selected accounts of its adjusted trial balance. Supplies $32,000 Service Revenue $108,000 40.000 Supplies Expense Accounts Receivable 6,000 Salaries and Wages Expense 12.000 Utilities Expense 8.000 Owner's Drawings 22,000 Rent Expense 18.000 Owner's Capital 70,000 Journalize the closing entries at December 31. (Credit account titles are automatically indented when amount is entered. Do not indent manus Date Account Titles...
Exercise 2-11 a-b (Video) Selected transactions from the Journal of June Feldman, Investment broker, are presented below. Ref. Credit Debit 6,550 6,550 3,406 3,406 6,550 3,013 3,537 Date Account Titles and Explanation Aug. 1 Cash Owner's Capital (Owner's investment of cash in business) 10 Cash Service Revenue (Received cash for services performed) 12 Equipment Cash Notes Payable (Purchased equipment for cash and notes payable) 25 Accounts Receivable Service Revenue (illed dients for services performed) 31 Cash Accounts Receivable (Receipt of...
Exercise 2-12 a-b The T-accounts below summarize the ledger of Negrete Landscaping Company at the end of the first month of operations. 4/1 4/12 4/29 4/30 4/7 4/4 Cash No. 101 14,000 4/15 1,300 900 4/25 1,500 400 1,000 Accounts Receivable No. 112 3,000 4/29 400 Supplies No. 126 1,800 Accounts Payable No. 201 1,500 4/4 1,800 Unearned Service Revenue No. 209 4/30 1,000 Owner's Capital No. 301 4/1 14,000 Service Revenue No. 400 4/7 3,000 4/12 900 Salaries and...