Which ones are on the Income statement or Balance Sheet
Cash |
Petty Cash |
Accounts Receivable |
Allowance for Doubtful Accounts |
Notes Receivable |
Interest Receivable |
Inventory |
Supplies Inventory |
Prepaid Insurance |
Prepaid Rent |
Debt Investments |
Equity Investments |
Land |
Buildings |
Accum. Depr. - Buildings |
Equipment |
Accum. Depr. - Equipment |
Notes Payable |
Accounts Payable |
Salaries and Wages Payable |
Interest Payable |
Dividends Payable |
Long-term Notes Payable |
Common Stock |
Retained Earnings |
Dividends |
Income Summary |
Sales Revenue |
Sales Returns and Allowances |
Sales Discounts |
Cost of Goods Sold |
Advertising Expense |
Bad Debt Expense |
Supplies Expense |
Repairs & Maintenance Expense |
Miscellaneous Expense |
Depreciation Expense |
Insurance Expense |
Salaries and Wages Expense |
Rent Expense |
Payroll Tax Expense |
Utilities Expense |
Interest Revenue |
Investment Income |
Gain on Disposal of Plant Assets |
Interest Expense |
Loss on Disposal of Plant Assets |
Income Tax Expense |
Which ones are on the Income statement or Balance Sheet Cash Petty Cash Accounts Receivable Allowance...
Accounts Payable Accounts Receivable Accrued Liabilities Accumulated Depreciation-Building Accumulated Depreciation-Equipment Advances to Employees Allowance for Doubtful Accounts Bonds Payable Bond Sinking Fund Buildings Cash Cash Surrender Value of Life Insurance Common Stock Construction in Process Copyrights Debt Investments Dividends Payable Discount on Bonds Payable Equipment Equity Investments Finished Goods Franchises Goodwill Income Tax Payable Income Tax Receivable Interest Payable Interest Receivable Inventory Investments in Common Stock Investments in Stocks and Bonds Land Notes Payable Notes Receivable Noncontrolling Interest Paid-in Capital...
Income Statement and Balance Sheet The following information for Rogers Enterprises is available at December 31, 2019, and includes all of Rogers' financial statement amounts except retained earnings: Accounts receivable $72,920 Cash 13,240 Common stock (10,000 shares) 65,000 Income taxes expense 13,000 Income taxes payable 4,150 Interest expense 16,500 Notes payable (due in 10 years) 25,000 Prepaid rent (building) 31,500 Property, plant, and equipment 90,000 Rent expense 135,000 Retained earnings ? Salaries expense 235,200 Salaries payable 15,710 Service revenue 464,000...
Cash Accounts receivable Prepaid insurance Supplies inventory Trial balance Financial Statements Statement of Income Balance Sheet Statement of Cash Flows Trial balance Debits Credits Adjusting entries Debits Credits Adjusted trial balance Debits _ Credits _ Revenue Assets Cash Accounts receivable Prepaid insurance Supplies inventory Computer equipment Accumulated depreciation Total assets Net income + Depreciation - Accounts receivable - Prepaid insurance - Supplies + Accounts payable Cash from operations Computer equipment Accounts payable Notes payable Common stock Accounts Cash Accounts receivable...
FASHION CENTRE Adjusted Trial Balance November 30, 2015 Debit $22,000 Credit Cash....... Accounts receivable Merchandise inventory Supplies..... Prepaid insurance Long-term investment.. Equipment .. Accumulated depreciation-equipment... Accounts payable. Salaries payable.. Interest payable Income tax payable Unearned revenue. 30,600 25,000 950 1,200 37,000 26.800 $ 16,080 34,400 1,210 175 1,100 600 35,000 16,400 25,000 Bank loan payable (matures 2018) Common shares. Retained earnings Dividends Sales ..... Interest revenue Sales discounts Sales returns and allowances. Cost of goods sold .. Salaries expense. Rent...
Below are the completed financial statement columns of the worksheet for Suncor Company. Suncor Company Work Sheet For the Year Ended December 31, 2017 During 2017, Suncor’s shareholders invested $26,880 in exchange for common shares. Accumulated other comprehensive income had a balance of $0 on January 1, 2017. Prepare a statement of comprehensive income. SUNCOR CORP. Choice of accounts to use: Accounts Payable Accounts Receivable Accrued Liabilities Accumulated Amortization - Patent Accumulated Depreciation - Buildings Accumulated Depreciation - Equipment Accumulated...
Multiple-step income statement and balance sheet The following selected accounts and their current balances appear in the ledger of Kanpur Co. for the fiscal year ended June 30, 20Y7: Cash $109,100 Retained Earnings $480,800 Accounts Receivable 290,900 Dividends 65,300 Inventory 331,600 Sales 3,995,800 Estimated Returns Inventory 5,000 Cost of Goods Sold 2,311,300 Office Supplies 10,300 Sales Salaries Expense 649,900 Prepaid Insurance 8,000 Advertising Expense 178,700 Office Equipment 240,100 Depreciation Expense— Store Equipment 34,800 Accumulated Depreciation— Office Equipment 163,100 Miscellaneous Selling...
list of accounts Sandhill Company had the following adjusted trial balance. $3,840 Sandhill Company Adjusted Trial Balance For the Month Ended June 30, 2020 Adjusted Trial Balance Account Titles Debit Credit Cash Accounts Receivable 4,070 Supplies 400 Accounts Payable $1,700 Unearned Service Revenue 190 Owner's Capital 3,900 Owner's Drawings Service Revenue 5,920 Salaries and Wages Expense 1,300 Miscellaneous Expense 200 Supplies Expense 1,930 Salaries and Wages Payable 540 $12,250 $12,250 510 Prepare closing entries at June 30, 2020. (Credit account...
Can you help me solve this? Prepare a properly classified balance sheet as of February 28, 2022. (List Current Assets in order of liquidity.) WINDSOR CLEANING SERVICES INC. Balance Sheet Assets Liabilities and Stockholders' Equity WINDSOR CLEANING SERVICES INC. Retained Earnings Statement For the Month Ending February 28, 2022 Retained Earnings, 2/1/17 Add Net Income / (Loss) Less 4 Dividends Retained Earnings, 2/28/17 - WINDSOR CLEANING SERVICES INC. Income Statement For the Month Ending February 28, 20229 14312 Service Revenue...
Please create an income statement, balance sheet, and statement of stockholder's equity according to the adjusted trial balance columns. A Byte of Accounting, Inc. Worksheet For Period Ending December 31, 2018 Income Statement Debit Credit Balance Sheet Debit Credit Adiusting Entries Debit Credit 25.00 - 8,105.00 - 1.447.50 269.00 Unadiusted Trial Balance Debit Credit 258,208.20 23,662.00 5,090.00 6,456.00 2.600.00 3,400.00 2.225.00 64,100.00 6.100.00 22,000.00 4.400.00 14.276.00 8,715.00 118.00 Account Number Name 1110 Cash 1120 Accounts Receivable 1121 Allowance for Doubtful...
Prepare A multi-step income statement as of Feb. 22, 2018 IENT RESOURCES Trial Balance 2/28/22 Credit rehensive nting Cyde 11-02 (Part Submission Score Results by Study. Accounts Receivable Supplies Prepaid Insurance Prepaid Expenses Allowance for Doubtful Accounts Equipment Accumulated Depreciation-Equipment IR Accounts Payable able 2 Notes Payable 8800 Salaries and Wages Payable Interest Payable 44 Income Taxes Payable 854 TUnearned Service Revenue 459 Common Stock Paid-in Capital in Excess of Par Value-Common Sto TCash Dividends Treasury Stock Service Revenue Tutilities...