JUST NEED LEDGERS Journal Ledger Journal Adjustment Ledger Journal Closing Entey Ledger I need Ledgers for...
Just need ledger for jornal and journal adjustment ledger and journal closing entry ledger JUST NEED THE LEDGERS Table of content 1. Journal / . Ledger Umale A 3. Unadjusted trial balance 4. Journal -adjustment- 5. Ledger 5 6. Adjusted trial balance * Worksheet 3 8. Financial statement 9 Journal - closing entry 10. ledger 11. Post closing trial balance Chapter com m e Accounting Cycle aders and to operate the ✓ Net Income: For the past several year &...
I Need every thing completed 222 Chapter 4 Completing the Accounting Cycle Comprehensive Problem 1 ✓ 8. Net income. Kelly Pitney began her consulting business, Kelly Consulting, on April 1, 2018. The $35.425 ing cycle for Kelly Consulting for April, including financial statements, was illustrated chapter. During May, Kelly Consulting entered into the following transactions: May 3 Received cash from clients as an advance payment for services to be provided and recorded its earned fees. $4,500. 5. Received cash from...
Kelly Pitney began her consulting business, Kelly Consulting on April 1, 2019. The accounting cycle for Kelly consulting for April including financial statements was illustrated in this chapter. During May, Kelly Consulting entered in to the following transactions. May 3. Received cash from clients as an advanced payment for services to be provided and recorded it as unearned fees $4,500 5 received cash from clients on account, $2,450 9. Paid cash for a newspaper advertisement $225 13 Paid office station...
Page 222 in the Financial & Managerial Accounting 14 edition Book 222 Chapter 4 Completing the Accounting Cycle Comprehensive Problem 1 8. Net income, Kelly Pitney began her consulting business. Kelly Consulting, on April 1, 2016. The account $33,425 ing cycle for Kelly Consulting for April, including financial statements, wis illustrated in this ing cycle f chapter. During May, Kelly Consulting entered into the following transactions May 3. Received cash from clients as an advance payment for services to be...
In total, there are pages 5 and 6 to the journal and page 7 is adjusting entries. there is also closing entries (part of the journal), I do NOT need to enter ledger accounts, there is also an unadjusted trial balance, adjusted trial balance, income statement, statement of owners equity, balance sheet, and post-closing trial balance. This is what I have already: The trial balances are wrong becayse my totals dont match and im not sure why. The other financial...
4-8j: Comprehensive Problem 1 Kelly Pitney began her consulting business, Kelly Consulting, on April 1, 20Y8. The accounting cycle for Kelly Consulting for April, including financial statements, was illustrated in this chapter. During May, Kelly Consulting entered into the following transactions: Ma Received cash from clients as an advance payment for services to be provided and recorded it as uncared foes, $4.500 Received cash from clients on account, $2,450 1 Paid cash for a newspaper advertisement, $225. 13. Paid Office...
Please answer all of the questions. I am having the most trouble getting started using Exhibit #17 to answer question #1. Thanks 222 Chapter 4 Completing the Accounting Cycle Comprehensive Problem 1 22 8. Net income, Kelly Pitney began her consulting business, Kelly Consulting, on April 1, 2018. The account $33,425 ing cycle for Kelly Consulting for April, including financial statements, was illustrated in this chapter. During May, Kelly Consulting entered into the following transactions May 3 Received cash from...
Mike Shaw began his contracting business, Mike Shaw Contractors, on April 1, 2017. The post-closing trial balance for Mike Shaw Contractors for April is down below. During May, Mike Shaw Contractors entered into the following transactions: May Received cash from clients as an advance payment for services to be 3. provided and recorded it as unearned fees, $4,500. 5. Received cash from clients on account, $2,450. 9. Paid cash for a newspaper advertisement, $225. 13. Paid Office Station Co. for...
Mike Shaw began his contracting business, Mike Shaw Contractors, on April 1, 2017. The post-closing trial balance for Mike Shaw Contractors for April is down below. During May, Mike Shaw Contractors entered into the following transactions: May 3. Received cash from clients as an advance payment for services to be provided and recorded it as unearned fees, $4,500. 5. Received cash from clients on account, $2,450. 9. Paid cash for a newspaper advertisement, $225. 13. Paid Office Station Co. for...
1. The chart of accounts and post-closing trial balance (April 2017) for Mike Shaw Contractors is shown below. For each account in the post-closing trial balance, enter the balance in the appropriate Balance column of a four-column account. Date the balances May 1, 2017, and place a check mark in the Posting Reference column. Journalize each of the May transactions in a two-column journal starting on Page 5 of the journal and using Mike Shaw's chart of accounts. (Do not...