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This is the trial balance of Ivanhoe Company on September 30. IVANHOE COMPANY Trial Balance September...
please fill in the blanks IVANHOE COMPANY Trial Balance September 30, 2017 Debit Credit Cash $ 23,200 Accounts Receivable 6,600 Supplies 4,760 10,660 Equipment Accounts Payable $8,800 Unearned Service Revenue 3,760 Common Stock 19,000 Retained Earnings 13,660 $45,220 $45,220 The October transactions were as follows. Oct. 5 Received $1,410 in cash from customers for accounts receivable due. 10 Billed customers for services performed $5,680. 15 Paid employee salaries $1,370. 17 Performed $640 of services in exchange for cash. 20 Paid...
Question 4 View Policies Current Attempt in Progress This is the trial balance of Ivanhoe Company on September 30 IVANHOE COMPANY Trial Balance September 30, 2022 Debit Credit Cash $ 23,200 Accounts Receivable 6,600 Supplies 4,760 Equipment 10,660 Accounts Payable $ 8,800 Unearned Service Revenue 3,760 Common Stock 19,000 Retained Earnings 13,660 $45,220 $45,220 Bi (6 The October transactions were as follows. Oct. 5 Received $1,410 in cash from customers for accounts receivable due. 10 Billed customers for services performed...
part a,b,c and are very long. please complete all empty boxes This is the trial balance of Ivanhoe Company on September 30. IVANHOE COMPANY Trial Balance September 30, 2017 Credit Cash Debit $ 23,200 6,600 Accounts Receivable Supplies 4,760 Equipment 10,660 Accounts Payable Unearned Service Revenue 3,760 Common Stock 19,000 LUCR7 00 RE Retained Earnings d e 13.660 S $45,220 $45,220 13,060 S The October transactions were as follows. Oct. 5 Received $1,410 in cash from customers for accounts receivable...
part a,b,d,d are very long sorry, but can you please enter the information as if you are just filling in the blanks? This is the trial balance of Ivanhoe Company on September 30. urces IVANHOE COMPANY Trial Balance September 30, 2017 Debit Credit Cash $23,200 TERETET Accounts Receivable Ciawi 0,00 Supplies 4,760 Equipment 10,660 Accounts Payable ssion Unearned Service Revenue 3,760 Common Stock 19,000 Retained Earnings 13,660 $45,220 $45,220 The October transactions were as follows. Oct. 5 Received $1,410 in...
This is the trial balance of Cullumber Company on September 30. CULLUMBER COMPANY Trial Balance September 30, 2022 Debit Credit Cash $ 23,330 Accounts Receivable 6,730 Supplies 4,290 Equipment 10,190 Accounts Payable $ 8,930 Unearned Service Revenue 3,290 Common Stock 19,130 Retained Earnings 13,190 $44,540 $44,540 The October transactions were as follows. Oct. 5 Received $1,470 in cash from customers for accounts receivable due. 10 Billed customers for services performed $5,740. 15 Paid employee salaries $1,010. 17 Performed $620 of...
P3-6A This is the trial balance of Lacey Company on September 30. LACEY COMPANY Trial Balance September 30, 2017 Debit Credit Cash $19,200 Accounts Receivable 2,600 Supplies 2,100 Equipment 8,000 Accounts Payable $ 4,800 Unearned Service Revenue 1,100 Common Stock 15,000 Retained Earnings 11,000 $31,900 $31,900 The October transactions were as follows. Oct. 5 Received $1,300 in cash from customers for accounts receivable due. 10 Billed customers for services performed $5,100. 15 Paid employee salaries $1,200. 17 Performed $600 of...
This is the trial balance of Oriole Company on September 30 ORIOLE COMPANY Trial Balance September 30, 2017 Debit Credit $ 23,580 6,980 4,920 10,820 Cash Accounts Receivable Supplies Equipment Accounts Payable Unearned Service Revenue Common Stock Retained Earnings 9,180 3,920 19,380 13,820 46,300 $46,300 The October transactions were as follows. Oct. 5 10 15 17 20 29 31 Received $1,310 in cash from customers for accounts receivable due. Billed customers for services performed $5,800 Paid employee salaries $1,190 Performed...
This is the trial balance of Cullumber Company on September 30. CULLUMBER COMPANY Trial Balance September 30, 2022 Debit Credit Cash $ 23,330 Accounts Receivable 6,730 Supplies 4,290 Equipment 10,190 Accounts Payable $8.930 Unearned Service Revenue 3,290 Common Stock 19,130 Retained Earnings 13,190 $44,540 $44.540 The October transactions were as follows. Oct. 5 Received $1,470 in cash from customers for accounts receivable due 10 Billed customers for services performed $5.740. 15 Paid employee salaries $1,010. 17 Performed $620 of services...
QUESTION HERE: This is the trial balance of Pharoah Company on September 30. PHAROAH COMPANY Trial Balance September 30, 2022 Debit Credit Cash $23,940 Accounts Receivable 7,340 Supplies 4,530 Equipment 10,430 Accounts Payable $ 9,540 Unearned Service Revenue 3,530 Common Stock 19,740 Retained Earnings 13,430 $46,240 $46,240 The October transactions were as follows. Oct. 5 Received $1,330 in cash from customers for accounts receivable due. 10 Billed customers for services performed $5,660. 15 Paid employee salaries $1,270. 17 Performed $600...
LO C UParty JCC SU. CULLUMBER COMPANY Trial Balance September 30, 2017 Debit Credit Cash $ 24,020 Accounts Receivable 7,420 Supplies 4,210 Equipment 10.110 Accounts Payable $9,620 Unearned Service Revenue 3,210 Common Stock 19,820 Retained Earnings 13,110 $45,760 $45,760 The October transactions were as follows. Oct. 5 Received $1,380 in cash from customers for accounts receivable due. 10 Billed customers for services performed $5,870. 15 Paid employee salaries $1,030. 17 Performed $550 of services in exchange for cash. 20 Paid...