Books of Red Storm Cleaners
Journal Entries for the year ending on 31st dec ,2020----------
DATE | Journal | Debit($) | Credit($) |
---|---|---|---|
March 12 |
cash A/c. Dr. Customer A/ c Dr To services A/ c |
39000 21000 |
60000 |
May 2 |
Cash A/c Dr To bills Receivables A/c |
18000 |
18000 |
June 30 |
Cash A/c. Dr To share capital A/c |
6000 |
6000 |
Aug 1 |
Salaries A/ c Dr To cash A/ c |
7500 |
7500 |
Sep 25 |
Repairs A/ c Dr To cash. A/c |
13000 |
13000 |
oct 19 |
Equipment A/ c To cash A/ c |
8000 |
8000 |
Dec30 |
Dividends A/ c. Dr To cash A/ c |
1100 |
1100 |
Total | 113600 | 113600 |
Adjusting Entries
1 |
salaries A/c Dr To outstanding salaries A/c |
19600$ |
19600$ |
2 |
Depreciation A/ c. Dr To equipment A/ c |
5000$ |
5000$ |
3 |
Closing stock A/ c Dr To Trading A/ c |
1200$ |
1200$ |
Adjusting Entry for depreciation------
Profit & loss A/ c. Dr. 5000
To depreciation A/ c. 5000
The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances...
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Credits Debits $ 18,500 7,700 3,700 13,500 Accounts Cash Accounts Receivable Supplies Equipment Accumulated Depreciation Salaries Payable Common Stock Retained Earnings Totals $ 4,400 6,400 23,500 9,100 $ 43,400 $ 43,400 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $57,000, of which $20,700 is on account. 2. May 2 Collect on accounts...
The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Accounts Debits Credits Cash $ 20,000 Accounts Receivable 8,000 Supplies 4,000 Equipment 15,000 Accumulated Depreciation $ 5,000 Salaries Payable 7,500 Common Stock 25,000 Retained Earnings 9,500 Totals $ 47,000 $ 47,000 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $60,000, of which $21,000 is on account. 2. May 2 Collect on accounts receivable,...
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Accounts Debits Credits Cash $ 10,500 Accounts Receivable 6,100 Supplies 2,100 Equipment 19,500 Accumulated Depreciation $ 6,800 Salaries Payable 9,300 Common Stock 15,500 Retained Earnings 6,600 Totals $ 38,200 $ 38,200 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $41,000, of which $19,100 is on account. 2. May 2 Collect on...
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Credits Debits $12,500 6,500 2,500 17,500 Accounts Cash Accounts Receivable Supplies Equipment Accumulated Depreciation Salaries Payable Common Stock Retained Earnings Totals $ 6,000 8,500 17,500 7,000 $39,000 $39,000 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $45,000, of which $19,500 is on account. 2. May 2 Collect on accounts receivable, $16,500. 3....
The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Accounts Debits Credits Cash $ 14,500 Accounts Receivable 6,900 Supplies 2,900 Equipment 15,500 Accumulated Depreciation $ 5,200 Salaries Payable 7,700 Common Stock 19,500 Retained Earnings 7,400 Totals $ 39,800 $ 39,800 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $49,000, of which $19,900 is on account. 2. May 2 Collect on accounts receivable, $16,900....
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Credits Debits $12,500 6,500 2,500 17,500 Accounts Cash Accounts Receivable Supplies Equipment Accumulated Depreciation Salaries Payable Common Stock Retained Earnings Totals $ 6,000 8,500 17,500 7,000 $39,000 $39,000 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $45,000, of which $19,500 is on account. 2. May 2 Collect on accounts receivable, $16,500. 3....
The general ledger of Red Storm Cleaners at January 1, 2018, includes the following account balances: Accounts Debits Credits Cash $ 11,000 Accounts Receivable 6,200 Supplies 2,200 Equipment 19,000 Accumulated Depreciation $ 6,600 Salaries Payable 9,100 Common Stock 16,000 Retained Earnings 6,700 Totals $ 38,400 $ 38,400 The following is a summary of the transactions for the year: a. March 12 Provide services to customers, $42,000, of which $19,200 is on account. b. May 2 Collect on accounts receivable, $16,200....
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Credits Debits $12,500 6,500 2,500 17,500 Accounts Cash Accounts Receivable Supplies Equipment Accumulated Depreciation Salaries Payable Common Stock Retained Earnings Totals $ 6,000 8,500 17,500 7,000 $39,000 $39,000 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $45,000, of which $19,500 is on account. 2. May 2 Collect on accounts receivable, $16,500. 3....
Required information The general ledger of Red Storm Cleaners at January 1, 2021, includes the following account balances: Credits Debits $ 18,500 7,700 3,700 13,500 Accounts Cash Accounts Receivable Supplies Equipment Accumulated Depreciation Salaries Payable Common Stock Retained Earnings Totals $ 4,400 6,400 23,500 9,100 $ 43,400 $ 43,400 The following is a summary of the transactions for the year: 1. March 12 Provide services to customers, $57,000, of which $20,700 is on account. 2. May 2 Collect on accounts...
The general ledger of Red Storm Cleaners at January 1, 2018, includes the following account balances: Accounts Debits Credits Cash $ 12,000 Accounts Receivable 6,400 Supplies 2,400 Equipment 18,000 Accumulated Depreciation $ 6,200 Salaries Payable 8,700 Common Stock 17,000 Retained Earnings 6,900 Totals $ 38,800 $ 38,800 The following is a summary of the transactions for the year: March 12 Provide services to customers, $44,000, of which $19,400 is on account. May 2 Collect on accounts receivable,...