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Adjusting entries Instructions Chart of Accounts Journal Final Questions Instructions UNADJUSTED TRIAL BALANCE November 30, 2For preparing the adjusting entries, the following data were assembled: Fees earned but unbilled on November 30 were $9,970.Chart of Accounts CHART OF ACCOUNTS Trident Repairs & Service General Ledger ASSETS REVENUE 11 Cash 41 Fees Earned 12 AccountFinal Questions 2. Determine the revenues, expenses, and net income of Trident Repairs & Service before the adjusting entries

1. Journalize the adjusting entries necessary on November 30, 20Y3. Refer to the Chart of Accounts for exact wording of account titles.
2. Determine the revenues, expenses, and net income of Trident Repairs & Service before the adjusting entries.
3. Determine the revenues, expenses, and net income of Trident Repairs & Service after the adjusting entries.
4. Determine the effect of the adjusting entries on Retained Earnings.
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Answer #1
Part-1 Journal Entry
S. No. Account Tittle Debit Credit
a. Account Receivable $9,970.00
Fees Earned $9,970.00
TO Record Service Revenue
b. Supplies Expense $11,600.00
Supplies (16150-4550) $11,600.00
TO Record Supplies Expense
c. Depreciation Expense $6,090.00
Accumulated Depreciation $6,090.00
TO Record Dep Expense
d. Unearned Fees $15,260.00
Fees Earned $15,260.00
To Record Service Revenue
e. Wages Expense $4,780.00
Wages Payable $4,780.00
TO Record Wages Expense
Income Statement
Before Adjusting Entries
Fees Earned $299,210
Expense
Rent Expense $72,460
Wages Expense $94,230
Utilities Expense $51,660
Mis Expense $8,070
Depreciation Expense
Total Expense (b) $226,420
Net Income (a-b) $72,790
Income Statement
After Adjusting Entries
Fees Earned
(299210+15260+9970)
$324,440
Expense
Rent Expense $72,460
Wages Expense (94230+4780) $99,010
Utilities Expense $51,660
Mis Expense $8,070
Depreciation Expense $6,090
Supplies Expense $11,600
Total Expense (b) $248,890
Net Income (a-b) $75,550
The Retained Account will be increased by (75550-72790) $2760
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