Question

ACCOUNT Amount in Unadjusted Trial Balance Amount in Adjusted Trial Balance Unused office supplies $190 $55...

ACCOUNT Amount in Unadjusted Trial Balance Amount in Adjusted Trial Balance
Unused office supplies $190 $55
Accumulated depreciation - truck 0 400
Prepaid Insurance 850 610
Interest payable 0 100
Unearned rent 1000 500

An exact from the trial balance of Armstrong Corp. at June 30, 2019 is reproduced above

Required: Prepare a general journal format the entries that were posted, including a plausable description. General ledger account numbers are not necessary.

0 0
Add a comment Improve this question Transcribed image text
Know the answer?
Add Answer to:
ACCOUNT Amount in Unadjusted Trial Balance Amount in Adjusted Trial Balance Unused office supplies $190 $55...
Your Answer:

Post as a guest

Your Name:

What's your source?

Earn Coins

Coins can be redeemed for fabulous gifts.

Not the answer you're looking for? Ask your own homework help question. Our experts will answer your question WITHIN MINUTES for Free.
Similar Homework Help Questions
  • An extract from the trial balance of Armstrong Corp. at June 30, 2019 is reproduced below:...

    An extract from the trial balance of Armstrong Corp. at June 30, 2019 is reproduced below: Amount in adjusted trial balance Amount in unadjusted trial balance $ 190 0 850 0 1,000 Account Unused office supplies Accumulated depreciation - truck Prepaid insurance Interest payable Unearned rent $ 55 400 610 100 500 Required: Prepare in general journal format the entries that were posted, including a plausible description. General ledger account numbers are not necessary

  • CP 9‐2 An extract from the trial balance of Selby Corp. at December 31, 2019 is reproduced below:...

    CP 9‐2 An extract from the trial balance of Selby Corp. at December 31, 2019 is reproduced below: I have attached the full question and workbook for the answers to be filled into below. The answers must put put into this workbook format or I won't understand them. Also, I can't understand handwriting that's not my own that well, so if you must give me handwritten answers, please only print and make it very understandable. Thank you! CP 9-2 An...

  • Instructions Chart of Accounts Journal Ledger Unadjusted Trial Balance Final Question Instructions On November 1, 20Y9,...

    Instructions Chart of Accounts Journal Ledger Unadjusted Trial Balance Final Question Instructions On November 1, 20Y9, Lexi Martin established an interior decorating business, Heritage Designs. During the month, Lexi completed the following transactions related to the Nov. 1 Lexi transferred cash from a personal bank account to an account to be used for the business in exchange for common stock, $50,000 1 Paid rent for period of November 1 to end of month, $4,000. 6 Purchased office equipment on account,...

  • The unadjusted trial balance for Green Initiatives as December 31 is provided on the trial balance...

    The unadjusted trial balance for Green Initiatives as December 31 is provided on the trial balance tab. Information for adjustments is os follows: o. As of December 31, employees had earned $2.000 of unpaid and unrecorded salaries. The next payday is January 4, at which time $2,500 of salaries will be paid. b. The cost of supplies still available at December 31 is $1.400. c. The notes payable requires an interest payment to be made every three months. The amount...

  • P 3-1 The following unrelated accounts are extracted from the trial balance of Meekins Limited at...

    P 3-1 The following unrelated accounts are extracted from the trial balance of Meekins Limited at December 31, its fiscal year-end: Account a. Prepaid rent b. Wages payable c. Income taxes payable d. Unearned commissions revenue e. Other unearned revenue f. Advertising expense 8. Depreciation expense - equipment h. Supplies expense i. Truck operating expense Balance Unadjusted Adjusted $ 300 $ 600 500 700 1,000 2,000 3,000 25,000 20,000 5,000 3,500 500 850 625 4,000 4,500 -0- Required: For each...

  • Uuscriptions Work Sheet Journal Ledger Adjusted Instructions The unadjusted trial balance of Lakota Freight Co. at...

    Uuscriptions Work Sheet Journal Ledger Adjusted Instructions The unadjusted trial balance of Lakota Freight Co. at March 31, 2014, the end of the year, follows: Lakota Freight Co. UNADJUSTED TRIAL BALANCE March 31, 2014 ACCOUNT TITLE CREDIT DEBIT 11,000.00 31,000.00 4,800.00 100,000.00 25,000.00 60,000.00 3 Supplies 3 Prepaid Insurance Equipment Accumulated Depreciation-Equipment 6 Trucks Accumulated Depreciation Trucks Accounts Payable Common Stock 10 Retained Earnings 11 Dividends 15,000.00 6,000.00 29,000.00 45,200.00 15.000.00 170,000.00 12 Service Revenue 4,200.00 15 Wages Expense Instructions...

  • How are Supplies and Prepaid Insurance managed on Unadjusted Trial balance, Adjusted Trial Balance, Income Statement,...

    How are Supplies and Prepaid Insurance managed on Unadjusted Trial balance, Adjusted Trial Balance, Income Statement, Classified Balance Sheet, and Post-Closing Trail Balance? Arranged Not Managed How are Suppiles and Prepaid Insurance listed? It it Supplies always above Prepaid Insurance or in some case Prepaid Insurance must be on top of Supplies?

  • Following is the November, 30, 2020 unadjusted trial balance of Zenith Delivery Company, Inc. The account...

    Following is the November, 30, 2020 unadjusted trial balance of Zenith Delivery Company, Inc. The account balances represent the results of entries recorded during the first 11 months of 2020. There have been no stock transactions during the year. Zenith Delivery Company, Inc. Unadjusted Trial Balance November 30, 2020 ACCT# DEBITS CREDITS $ 69,660 4,600 730 1.200 6.500 295.000 $ Cash Accounts Receivable Office Supplies Prepaid Rent Prepaid Insurance Trucks Accumulated Depreciation Trucks Accounts Payable Interest Payable Wages Payable Unearned...

  • The unadjusted trial balance of the Contracts Plus Company as of December 31 is found on...

    The unadjusted trial balance of the Contracts Plus Company as of December 31 is found on the trial balance tab. The following information is required to prepare the necessary adjusting entries for the Contracts Plus Company. 1) The balance in Prepaid insurance represents a 24-month policy that went into effect on December 1. Review the unadjusted balance in Prepaid insurance, and prepare the necessary adjusting entry, if any. 2) Based on a physical count, supplies on hand total $3,150. Review...

  • 3. Below is the Adjusted Trial Balance for Bono Furnishing Co. for the fiscal year ending...

    3. Below is the Adjusted Trial Balance for Bono Furnishing Co. for the fiscal year ending August 31, 2019. Bono Furnishing Co. Adjusted Trial Balance For the 12 Months Ended August 31, 2019 Credit Debit 80,300 4,500 6,500 900 40,000 General Ledger Account 101-Cash 102-Accounts Receivable 103-Supplies 104-Prepaid Insurance 150-Computer (cost) 151-Accumulated Depreciation 200-Accounts Payable 201-Unearned Revenue 300-Owner's Capital 301-Owner's Drawings 400-Service Revenue 401-Product Revenue 510-Utilities Expense 530-Salaries & Wages Expense 600-Telephone Expense 610-Supplies Expense 1,700 3,000 65,000 75,000 3,000...

ADVERTISEMENT
Free Homework Help App
Download From Google Play
Scan Your Homework
to Get Instant Free Answers
Need Online Homework Help?
Ask a Question
Get Answers For Free
Most questions answered within 3 hours.
ADVERTISEMENT
ADVERTISEMENT
ADVERTISEMENT