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please give answers to the blue part in these one and it will be helpful if...
JUST NEED THE COMPLETE BALANCE SHEET FOR THIS FIXING THE ERRORS I MADE BEGINNING NUMBERS ADJUSTMENTS Worksheet - AugFig Consulting Inc UNADJUSTED TRIAL JANUARY ENTRIES BALANCE 8,100 8,100 28,000 42.800 Prepaid Rent 675 ADJUSTED TRIAL BALANCE 7,425 28,000 42,800 Land 28,000 42,800 Computer Equipment Accumulated Depreciation, Comp Equip 185 185 11,260 11,260 11,260 135 8,650 8,650 6850 6,850 135 6,850 1,750 1,750 65 65 Office Furniture Accumulated Depreciation, Off Furn Accounts Payable Salaries Payable Interest Payable Unearned Revenue Long-term Notes...
E1-8 the following items and amounts were taken from Lonyear You have been hired as an accountant for AugFig Consulting Inc. This business was created when some friends decided to make use of their newly minted college degrees and go into business together. The business was created on January 1, 2019. The company will have a fiscal year end of December 31. The initial formation transactions and early purchases for AugFig Consulting Inc. resulted in the balances that are included...
Prepare financial statements for the month ending January 31, 2019. (Income Statement, Statement of Retained Earnings, Classified Balance Sheet ). Formatting is important and will be graded so be sure you use dollar signs and underlines as appropriate. Also be sure you have headings and proper column usage for all statements. There is a tab for these statements. Heading are PARTIALLY completed for the 3 statements. Prepare closing entries for the end of the period Prepare financial statements for the...
Please fill out the journal entry and then fill out the blue section of the worksheet entry based on the information which is in blue. This is an accounting project 1 part 2. Please complete this as soon as possible. Thank you. BEGINNING NUMBERS JANUARY ENTRIES ADJUSTMENTS ADJUSTED TRIAL BALANCE 49,200 37586 8950 63.210 11500 5.650 9,000 UNADJUSTED TRIAL BALANCE 74,824 2,550 16,240 9,000 58,300 67,500 10530 58,300 67,500 8.950 8,950 10,530 10,5901 5650 5,650 Cash Accounts Receivable Supplies Prepaid...
$ . % Merge & Center - .000 Formatting Table SIU. . . A. Number Styles Alignment Font Prepare financial statements for the month ending January 31, 2019. (Income Statement, Statement of Retained Earnings, Classified Balance Sheet). Formatting is important and will be graded so be sure you use dollar signs and underlines as appropriate. Also be sure you have headings and proper column usage for all statements. There is a tab for these statements. Heading are PARTIALLY completed for...
what formula you should use to get answers for these columns? these are the answers for the columns but i want to know what are the formulas that person used to get the answers in excel Team View Help Review Data Formulas Page Layout Draw General Wrap Text Conditional Fona $ - % 9 8 Formatting Ta E EMerge & Center- Style Number Alignment Font Worksheet - AugFig Consulting Inc UNADJUSTED TRIAL BALANCE ENTRIES JANUARY BEGINNING NUMBERS CREDIT DEBIT DEBIT...
i need help with the financial statement, balance sheet, statement of retained earnings. here are the numbers used. formulas displayed. Prepare financial statements for the month ending January 31, 2019. (Income Statement, Statement of Retained Earnings, Classified Balance Sheet). Formatting is important and will be graded so be sure you use dollar signs and underlines as appropriate. Also be sure you have headings and proper column usage for all statements. There is a tab for these statements. Heading are PARTIALLY...
I need submission 2 and submission 3 completed please, thank you!!! Submission 1 - due Friday January 17 before 5pm - You must submit your completed Journal entries, the Worksheet complete through the Trial Balance (with totals for all columns), and the worksheet formulas tab complete through the Trial Balance. Your file must be named correctly - "Your name (first and last) Project 1 part 1. Failure to name your file correctly will result in a 1 point deduction Submission...
YOU MUST USE FORMULAS AND CELL REFERENCES FOR INPUTS IN THE WORKSHEETS AND FINANCIAL STATEMENTS FOR YOUR PROJECT TO BE CONSIDERED FOR FULL CREDIT Submission 1 - due Friday January 17 before 5pm - You must submit your completed Journal entries, the Worksheet complete through the Trial Balance (with totals for all columns), and the worksheet formulas tab complete through the Trial Balance. Your file must be named correctly - "Your name (first and last) Project 1 part 1. Failure...
Complete Adjusting Journal Entries, the worksheet with the Trial Balance and adjustments and Adjusted Trial Balance Columns I JUST NEED THE BLUE PART COMPLETED THANK YOU!!! Adjusting Journal Entries You have been hired as an accountant for FigMint Consulting Inc. This business was created when some friends decided to make use of their newly minted college degrees and go into business together. The business was created on January 1, 2018. The company will have a fiscal year end of December...