Question

Problem 3-02A a-d Sunlands Hotel opened for business on May 1, 2020. Its trial balance before adjustment on May 31 is as folJournalize the adjusting entries on May 31. (Credit account titles are automatically indented when the amount is entered. Do

No. 149 Debit Credit Balance No. 150 Balance Debit Credit Equipment Date Explanation Ref. May 31 Balance 7 Accumulated Deprec

No. 429 Rent Revenue Date Explanation May 31 Balance Ref. Debit Credit Balance ✓ 31 No. 610 Balance Ref. Debit Credit No. 619

Utilities Expense Date Explanation No. 732 Balance Ref. Debit Credit May 31 Balance ✓ Prepare an adjusted trial balance on Ma

Totals $ $

Prepare an income statement for the month of May. SUNLANDS HOTEL Income Statement $ $ $

Prepare an owners equity statement for the month of May. SUNLANDS HOTEL Owners Equity Statement $ <Prepare a balance sheet at May 31. (List Assets in order of liquidity. List Property, Plant and Equipment in order of Land, BLiabilities and Owners Equity $ S Click if you would like to Show Work for this question: Open Show Work

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Answer #1

Adjusting Entries on May 31st

No Date Account title and explanation Debit Credit
1 May 31 Insurance Expense 150
Prepaid Insurance [1,800/12] X 1 150
[Prepaid insurance has been exhausted for 1 month ]
2 May 31 Supplies Expense 1,250
Supplies [ 2,050 - 800] 1,250
[Supplies used during the period ]
3 May 31 Depreciation Expense 5,268
Accumulated depreciation - Building 3,708
Accumulated depreciation - Equipment 1,560
[Depreciation on building and equipments charged ]
4 May 31 Interest Expense 200
Interest Payable [40,000 X 6% X 1/12] 200
[Adjustment entry made for interest expense ]
5 May 31 Unearned rent revenue 2,000
Rent Revenue ( 3,000 X 2/3) 2,000
[Unearned rent revenue, earned during the period ]
6 May 31 Salaries and wages expense 700
Salaries and wages payable 700
[Adjustment entry made for Salaries expense due but not paid ]

Cash - 101

Date Explanation Ref Debit Credit Balance
May 31 Balance 3,600 3,600

Supplies - 126

Date Explanation Ref Debit Credit Balance
May 31 Balance 2,050 2,050
May 31 Adjusting J1 1,250 800

Prepaid Insurance - 130

Date Explanation Ref Debit Credit Balance
May 31 Balance 1,800 1,800
May 31 Adjusting J1 150 1,650

Land - 140

Date Explanation Ref Debit Credit Balance
May 31 Balance 14,000 14,000

Building - 141

Date Explanation Ref Debit Credit Balance
May 31 Balance 61,800 61,800

Accumulated depreciation Building - 142

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 3,708 3,708

Equipment - 149

Date Explanation Ref Debit Credit Balance
May 31 Balance 15,600 15,600

Accumulated depreciation Equipment - 150

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 1,560 1,560

Accounts Payable - 201

Date Explanation Ref Debit Credit Balance
May 31 Balance 4,900 4,900

Unearned rent revenue - 208

Date Explanation Ref Debit Credit Balance
May 31 Balance 3,000 3,000
May 31 Adjusting J1 2,000 1,000

Salaries and wages payable - 212

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 700 700

Interest Payable - 230

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 200 200

Mortgage Payable - 275

Date Explanation Ref Debit Credit Balance
May 31 Balance 40,000 40,000

Owner's Capital - 301

Date Ecplanation Ref Debit Credit Balance
May 31 Balance 41,200 41,200

Rent Revenue - 429

Date Explanation Ref Debit Credit Balance
May 31 Balance 14,650 14,650
May 31 Adjusting J1 2,000 16,650

Advertising Expense - 610

Date Explanation Ref Debit Credit Balance
May 31 Balance 650 650

Depreciation Expense - 619

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 5,268 5,268

Supplies Expense - 631

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 1,250 1,250

Interest Expense - 718

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 200 200

Insurance Expense - 722

Date Explanation Ref Debit Credit Balance
May 31 Adjusting J1 150 150

Salaries and wages expense  - 726

Date Explanation Ref Debit Credit Balance
May 31 Balance 3,400 3,400
May 31 Adjusting J1 700 4,100

Utilities Expense - 732

Date Explanation Ref Debit Credit Balance
May 31 Balance 850 850

SUNLAND HOTEL

Adjusted Trial Balance

May 31

Debit Credit
Cash 3,600
Supplies 800
Prepaid Insurance 1,650
Land 14,000
Building 61,800
Accumulated depreciation Building 3,708
Equipment 15,600
Accumulated depreciation Equipment 1,560
Accounts Payable 4,900
Unearned Rent Revenue 1,000
Salaries and wages payable 700
Interest Payable 200
Mortgage Payable 40,000
Owner's capital 41,200
Rent Revenue 16,650
Advertising Expense 650
Depreciation Expense 5,268
Supplies Expense 1,250
Interest Expense 200
Insurance Expense 150
Salaries and wages expense 4,100
Utilities Expense 850
Total = 109,918 109,918

SUNLAND's HOTEL

Income Statement

For the year ended 31st May

Revenue :
Rent Revenue 16,650
Expenses :
Advertising Expense 650
Depreciation Expense 5,268
Supplies Expense 1,250
Interest Expense 200
Insurance Expense 150
Salaries and wages expense 4,100
Utilities Expense 850
Less:Total Expenses 12,468
Net Income 4,182

SUNLAND's HOTEL

Owner's Equity Statement

May 31

Owner's Capital on 1st May 41,200
Add:
Net Income 4,182
Owner's Capital on 31st May 45,382

SUNLAND 's HOTEL

BALANCE SHEET

AS AT MAY 31

Assets :
Cash 3,600
Supplies 800
Prepaid Insurance 1,650
Land 14,000
Building 61,800
Accumulated depreciation Building (3,708) 58,092
Equipment 15,600
Accumulated depreciation Equipment (1,560) 14,040
Total Assets 92,182
Liabilities and owner's Equity :
Liabilities :
Accounts Payable 4,900
Unearned rent revenue 1,000
Salaries and wages payable 700
Interest Payable 200
Mortgage Payable 40,000
Total liabilities 46,800
Owner's Equity :
Owner's Capital balance on May 31 45,382
Total liabilities and owner's Equity 92,182

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