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PLUSWeygandt, Financial Accounting, 10e ESOURCES Brief Exercise 2-8 Selected journal entries for the Nikolal Company are presented below. e 2-2 31 Date Account Titles and ExplanationRef. Debit Credit May 5 Accounts Recelvable Service Revenue e 2-6 5,000 5,000 (Billed for services performed) 12 Cash 2,100 e 2-10 Accounts Receivable 2,100 (Received cash in payment of account) 15 Cash 3,200 Service Revenue 3,200 (Received cash for services performed) Post the transactions using the standard form of account. (Post entries in the order displa Date Explanation Ref Debit Credit Balance JI Accounts Receivable Date Explanation RefDebit Credit Balance Service Revenue Date Balance Explanation RefDebit 31 31 Credit LINK TO TEXT
Brief Exercise 2-9 From the ledger balances given below, prepare a trial balance for the Favre Company at June 30, 2019. All account balances are normal Accounts Payable $7,000, Cash and Rent Expense $1,000. $5,200, Common Stock $20,000, Dividends $800, Equipment $17,000, Service Revenue $6,000, ACcounts Receivable $3,000, Salaries and Wages Expense $6,000, Favre Company Trial balance Debit Credit Totals Question Attempts: 0 of 3 used SAVE FOR LATER SUBMIT ANSW
Weygandt, Financial Accounting, 10e December 31 20LS Debit Credit $16,800 Cash Prepaid Insurance Accounts Payable Unearned Service Revenue Common Stock Dividends Service Revenue Salaries and Wages Expense Rent Expense $3,500 3,000 4,200 13,000 4,500 25,600 18,600 2,400 $52,000 $39,600 Prepare a correct trial balance, assuming all account balances are normal. Erika Company Trial balance Debit Credit Totals
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Answer #1

Answer to Exercise 2-8.

Cash Date Mav 12 May 15 Explanation Ref U1 U1 Debit 2100 3200 Balance 2100 5300 Credit Accounts Receivable Explanation Ref Date Mav 05 May 12 Debit 5000 Balance 5000 2900 Credit U1 2100 Service Revenue Explanation Ref Debit Date May 05 May 15 Credit 5000 3200 Balance 5000 8200

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