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Prepare Multi-Step Income Statement for the month of January 2019.Be Prepared Adjusted Trial Balance January 31, 2019 Account ID Account Description Debits Credits 1001 Cash 1021 Accounts Receiva ble 1022 Allowarce for Doubtful Acc 1027 Interest Receiva ble 1031 Notes Receivable 1051 Merchandise Invertory 1101 Store Supplies 1111 Office Supplies 1125Prepaic Insurarce 1401 Land 1411 Building 1412 Accum Dep: Building 1431 Officc Equipmert 1432 Accum Dep: Office Equipm 1451 Store Equipment 1452 Accum Depr: Store Equipm 1501 Patents 2001 Accounts Paya ble 2005Income Taxes Paya ble 2031 nterest Paya ble 2101 Notes Payable long term 2301 Bonds Paya ble 2303 Discount on Bonds Payable 3001 Preferred Stock 3011 Common Stock 3101 Paid in Capital In Excess of par: Prefer 3111 Paid in Capital In Excess of ρar: Com 3121 Paid in Capital Treasury Stock 3300 Retained Earnings 3351 Treasury Stock 4001 Sales Revenue 4002 Sales Discount 4003 Sa les Returns & Allowances 4101 nterest Revenue 5001 Cost of Goods Sold 5010 Insurance Expense General 5012 Rcpairs Expense: Office 5015Depreciation Experse: Building General 5020Dcpreciation Exp: Officc Ec 5025 Supplies Ex pense Sellirg 5027 Utilities Expense: Office 5030 Office Salaries Expense 5035 Office Payroll Tax Expense 6005 Depreciaion Exp: Store E 6010 Amortization Expense: Pa General 6015 Sales Salaries Expense 6020 Sales Payroll Tax Expense 6022 Utilities Expense: Store 6025 Delivery Expense General 6030Repairs Expense: Store 6040 Bad Debts Expense Selling 7001Interest Experse 687,490.00 $ 23,000.00 60.00 10,000.00 5,190.000 10,000.00 300.00 2,800.00 414,250.00 400,000.00 45.750.0O 90,000.00 125,000.00 69,300.00 17,500.00 15,800.00 25,000.00 7,500.00 4,778.00 200,000.00 800,000.00 23,900.00 400,000.00 105,000.00 15,000.00 166,250.00 72,000.00 53,940.00 72,000.00 139,000.00 800.00 3,000.00 84,560.00 200.00 2,500.00 750.00 1,200.00 1,500.00 15,000.00 1,200.00 10,000.00 800.00 1,100.00 1,000.00 5,878.00 2,068,038.00 $ 2,068,038.00

Be Prepared Inc. Balance Sheet December 31,2018 Assets Liabilities 25,000 7,500 200,000 232,500 Cash Accounts Receivable Merchandise Invento Office Supplies Prepaid Insurance Land Building Accumulated Depreciation, Building Office Equipment Accumulated Depreciation, Office Equipment Store Equipment Accumulated Depreciation, Store Equipment Patents Total Assets 27,500 Accounts Payable 40,000 Income Taxes Payable 50,000 Mortgage Payable 1,500 Total Liabilities 3,000 64,250 400,000 (45,000) Preferred Stock 90,000Common Stock (15,000) Paid in Capital in Excess of par: Preferred 75,000 Paid in Capital in Excess of par: Common (15,000) Retained Earnings 70,000 Total Stockholders Equity 746,250 Total Liabilities and Stockholders Equity $ Stockholders Equity 250,000 100,000 7,500 71,250 85,000 513,750 746,250

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Multi-step Income Statement Sales Revenue Sales revenue Less: Sales discounts Sales returns and allowances Net sales Cost of goods sold Gross profit 139,000 诺 800 3,0003,800 135,200 84,560 50,640 Operating Expenses Selling expenses Supplies expense Salaries and wages exp Payroll Tax Delivery Expense Bad debt expense.. 1,200 10,000 800 1,000 460 13,460 General & Administrative Expenses Maintenance and repairs expense-office Maintenance and repairs expense-stores Depreciation expense-Building Depreciation expense-Store equip Depreciation expense-Equip utilities expense-office utilities expense-stores Office Salaries Pavroll Tax Amortisation exp 2,500 800 750 800 2,500 1,500 1,100 15,000 1,200 700 26,850 10,330 Income from operations Other Revenues and Gains Interest revenue Other Expenses and Losses Interest expense-General Interest expense Income before income tax. Income tax Net income 60 200 5,878 4,312 0 4,312

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