Answer:
Date | Account title and Explanation | Debit | Credit |
Apr 8 | Accounts receivable | $5,000 | |
Service revenue | $5,000 | ||
[To record performed services on account] | |||
Apr 13 | Accounts payable | $2,500 | |
Cash | $2,500 | ||
[To record cash paid to creditors] | |||
Apr 15 | Automobile | $10,500 | |
Hilton, Capital | $10,500 | ||
[To record investment in business] | |||
Apr 18 | Office supplies | $600 | |
Accounts payable | $600 | ||
[To record purchase of office supplies on account] | |||
Apr 19 | Cash | $2,100 | |
Accounts receivable | $2,100 | ||
[To record collections from customers] | |||
Apr 20 | Hilton, drawings | $2,300 | |
Cash | $2,300 | ||
[To record withdrawal for personal use] | |||
Apr 21 | Cash | $2,100 | |
Service revenue | $2,100 | ||
[To record service revenue for cash] | |||
Apr 24 | Cash | $3,000 | |
Unearned service revenue | $3,000 | ||
[To record cash received in advance] | |||
Apr 28 | Salaries expense | $1,300 | |
Cash | $1,300 | ||
[To record payment of salaries] |
3. April 8 Performed tax services for a client on account, $5,000. 13 Paid $2,500 on...
He m a 101 paliwing transactions, posting a n counts, and preparing a tribal balance of Shawn Merry, CPA, is dad March 31, 2015 -com Learning the 1.4 The balance of 3. Ch ance 112.500 SHAWN MERRY, CPA Trial Balance March 31, 2018 CHAPTEE $11.000 30.000 Account Title Cash Accounts Receivable Office Supplies Land Furniture Automobile Accounts Payable Unearned Revenue Merry, Capital Merry, Withdrawals Service Revenue Salaries Expense Rent Expense Total $ 3,800 52,300 8,200 5.600 800 $ 64,300 564,300...
P2-32A Journalizing transactions, posting journal entries to four-column accounts, and preparing a trial balance The trial balance of Shawn Merry, CPA, is dated March 31,2018: Do SHAWN MERRY CPA Trial Balance March 31. 2018 Salance Credit Debit 11,000 16,500 Acceunt Title Accounts Receivable Office Supplies Land Furniture Automobile Accounts Payable Unearned Revenue Merry, Capital Merry, Withdrawals Service Revenue Salaries Expense Rent Expense Total 400 30,000 s 3,800 52,300 8,200 5,600 800 64,300 64,300 During April, the business completed the following...
Requirement 1. Record the AprilApril transactions in the journal. Include an explanation for each entry. (Record debits first, then credits. Select the explanations on the last line of the journal entry table. Check your spelling carefully and do not abbreviate. When applicable, use only the account names provided in the trial balance.) Apr.Apr. Requirement 1. Record the April transactions in the journal. Include an explanation for each entry. (Record debits first, then credits. Select the explanations on the last line...
Sep 16 Collected $3,000 cash from a client on account. 18 Provided services on account, $2,500. 21 Received $1,200 cash for services provided. 23 Purchased supplies on account, $900. 25 Paid $1,900 in dividends. 27 Paid $2,000 on account. 29 Received $3,300 cash for services provided. 30 Paid rent, $2,000. 30 Paid employees' salaries, $2,500. GOO, Inc. Trial Balance September 15, 2018 Acct # Account Debit Credit 110 Cash $ 3,700 112 7,300 Accounts receivable Supplies 115 100 140 11,700...
P1.6B (LO 4, 5, 6) AP Kensington Bike Repair Shop was started on April 1 by L. Depres. A summary of the April transactions follows: April 1 Invested $21,000 to start the repair shop. 2 Purchased equipment for $9,000, paying $3,000 cash and signing a note payable for the balance. 5 Paid rent for the month, $1,050. Purchased $975 of supplies on account. 9 Received $3,200 in cash from customers for repair services. 16 Provided repair services on account to...
Homework: Chapter 2 Homework HW Score: 76.29% , 15.26 Score: 1.26 of 4 pts 5 of 5 (5 complete) P2-38B (similar to) Question He The trial balance of Sheldon Mestler, CPA, is daled March 31, 2018 (Click the icon to view the March 31 trial balance ) During April, the business completed the following transactions (Cick the icon to view the transactions.) Read the requirements Paid cash expenses Requirement 2. The four-column ledger accounts listed in the trial balance, together...
TRANSACTIONS 1. Paid $2,100 for utilities. 2. Performed services for $10,500 on account 3. Received $6,500 from charge account customers 4. Paid salaries of $4,500 to employees 5. Paid $8,000 to a creditor on account. 6. Owner invested $90,000 in the business. 7. Purchased $26,700 of supplies on account. 8. Purchased equipment for $21,000 cash 9. Paid $6,000 for rent (in advance). 10. Performed services for $7,800 cash. Indicate the impact of each of the transactions below on the fundamental...
a. Purchased office supplies on account, SAR 450 b. Completed work for a client on credit, SAR 1,500 c. Paid cash for the office supplies purchased in (a) d. Completed work for a client and received SAR 800 cash e. Received SAR 1,500 cash for the work described in (b). f. Received SAR 3,000 in advance from a client for accounting services to be performed in September. Prepare journal entries to record the above transactions. Explanations are not necessary.
Hilton Service Center Trial Balance March 31, 2018 Account Title Balance Debit Credit 22,700 4,700 $ 2,600 Cash Accounts Receivable Office Supplies Land Accounts Payable Utilities Payable Unearned Revenue Notes Payable Common Stock Dividends Service Revenue Salaries Expense Rent Expense Interest Expense Utilities Expense 11,700 17,000 1,600 1,900 400 21 200 21200 Print Done AL in More Info 2 Borrowed $46,000 from the bank and signed a note payable in the name of the business. 4 Paid cash of $50,000...
Saved Wk 3 - Apply: Connect Exercise (due Mon) Selected activity of Mason Consulting Services follow. 13.33 points DATE TRANSACTIONS 2019 Sept. 1 Zack Mason invested $43, eee in cash to start the firm. 4 Purchased office equipment for $4,800 on credit from Den, Inc.; received Invoice 9823, payable in 30 days. 16 Purchased an automobile that will be used to visit clients; issued Check 1001 for $12,800 in full payment. 20 Purchased supplies for $350; paid immediately with Check...