Accounts Receivable | |||
May 1 Bal. | $660 | ||
May 31 | 8685 | ||
May 31 Bal. | $9345 | ||
Alpha GenCorp | |||
May 20 | $1995 | ||
May 31 Bal. | $1995 | ||
Hazmat Safety Co. | |||
May 1 | $3265 | ||
May 31 Bal. | $3265 | ||
Masco Co. | |||
May 1 | $1220 | ||
May 31 Bal. | $1220 | ||
Tillman Inc. | |||
May 1 Bal. | $660 | ||
May 27 | 2205 | ||
May 31 Bal. | $2865 | ||
Gamma Services Inc. | |
Accounts Receivable Customer Balances | |
May 31, 20Y3 | |
Alpha GenCorp | $1995 |
Hazmat Safety Co. | 3265 |
Masco Co. | 1220 |
Tillman Inc. | 2865 |
Total accounts receivable | $9345 |
Help to correct these Accounting I class Cengage exercise SHOW Me How Calculator Print Item Accounts...
Accounts Receivable Ledger The following revenue journal is for Bowman Cleaners Inc., assume that the beginning balances for the customer accounts were zero, except for Tillman Inc., which had a $785 beginning balance. In addition, there were no collections during the period. REVENUE JOURNAL Date Invoice No. Account Debited Post. Ref. Accounts Rec. Dr. Fees Earned Cr. 20Y3 May 1 112 Hazmat Safety Co. (a) $3,885 May 10 113 Masco Co. (b) 1,450 May 20 114 Alpha GenCorp (c) 2,370...
eBook Show Me How Calculator Print Item Trial Balance National Park Tours Co. is a travel agency. The nine transactions recorded by National Park Tours during May 2019, its first month of operations, are indicated in the following T accounts: Cash Equipment (3) 8,000 Beth Worley, Drawing (9) 2,500 (1) 75,000 (2) 900 (7) 8,150|(3) 1,600 (4) 6,280 (6) 2,700 (9) 2,500 Accounts Payable Fees Earned Accounts Receivable (5) 12,300|(7) 8,150 (6) 2,700|(3) 6,400 (5) 12,300 Supplies (2) 900 (8)...
Help solving Cengage Accounting I exercise eBook Show Me How Calculator Print Item Sales-related and purchase related transactions using perpetual inventory system Chart of Accounts Journal Instructions The following were selected from among the transactions completed by Babcock Company during November of the current year Nov. 3 4 6 8 Purchased merchandise on account from Moonlight Co., list price $88,000, trade discount 20%, terms FOB destination, 2/10, 1/30 Sold merchandise for cash, 541,250. The cost of the merchandise sold was...
C5 Problems eBook Show Me How Calculator Print Item Purchases, Accounts Payable Subsidiary Account, and Accounts Payable Ledger Sterling Forest Landscaping designs and installs landscaping. The landscape designers and office staff use office supplies, while field supplies (rock, bark, etc.) are used in the actual landscaping. Purchases on account completed by Sterling Forest Landscaping during October are as follows: Oct. 2. Purchased office supplies on account from Meade Co., $6,260. 5. Purchased office equipment on account from Peach Computers Co.,...
CH 4 - Homework CengageNOWV2 Onli Calculator Print Item eBook 3 Show Me How Post-Closing Trial Balance An accountant prepared the following post-closing trial balance: La Casa Services Co. Post-Closing Trial Balance March 31, 2019 Debit Balances Credit Balances Cash 14,800 Accounts Receivable 32,860 Supplies 2,070 146,370 Equipment 48,840 17,760 Accumulated Depreciation - Equipment Accounts Payable Salaries Payable Unearned Rent Sonya Flynn, Capital 1,630 6,660 121,210 242,130 150,070 Prepare a corrected post-closing trial balance. Assume that all accounts have normal...
eBook Show Me How Calculator Print Item The account balances of Sentinel Travel Service for the year ended August 31, 2019, are listed below. Fees earned $934,280 Office expense 214,885 Miscellaneous expense 18,685 Wages expense 448,455 Accounts receivable 65,400 Accounts payable 23,355 Cash 172,600 Land 299,000 Supplies 11,210 Barb Schroeder, the owner, invested an additional $56,100 in the business during the year and withdrew cash of $35,500 for personal use. Barb Schroeder, capital as of September 1, 2018, was $252,000...
eBook Show Me How Calculator Print Item Providing for Doubtful Accounts At the end of the current year, the accounts receivable account has a debit balance of $903,000 and sales for the year total $10,240,000. a. The allowance account before adjustment has a credit balance of $12,200. Bad debt expense is estimated at 1/2 of 1% of sales. b. The allowance account before adjustment has a credit balance of $12,200. An aging of the accounts in the customer ledger indicates...
resource from Cengage Learning eBook Calculator Print Item Normal Entries for Accounts During the month, Midwest Labs Co. has a substantial number of transactions affecting each of the following accounts. State for each account whether it is likely to have debit entries only, credit entries only, or both debit and credit entries. 1. Accounts Payable 2. Accounts Receivable 3. Cash 4. Fees Earned 5. Insurance Expense 6. Jerri Holt, Drawing 7. Utilities Expense Previous Next Check My Work 3 more...
eBook Show Me How Calculator Print Item Journal Entries National Park Tours Co. is a travel agency. The nine transactions recorded by National Park Tours during May 2019, its first month of operations, are indicated in the following T accounts: Cash Equipment Beth Worley, Drawing (9) 2,500 (3) 8,000 (1) 75,000 (2) 900 (7) 8,150 (3) 1,600 (4) 6,280 (6) 2,700 (9) 2,500 Fees Earned Accounts Receivable Accounts Payable (6) 2,700|(3) 6,400 (5) 12,300 (5) 12,300|(7) 8,150 Supplies (2) 900...
Please help with the following:eBook Show Me How Calculator Print Item Accounts Receivable Subsidiary Ledger The debits and credits from two transactions are presented in the following customer account: NAME Mobility Products Inc. ADDRESS 46 W. Main St. Date Item | Post. Ref. Debit Credit Balance 557 662 526 136 Aug. 1 Balance Aug. 10 Invoice No. 61 R36 105 Aug. 17 Invoice No. 64 CR23 Select the choice that describes each transaction and the source of each posting. Date...