Question

MY Autobody’s adjusted trial balance on December 31, 2020, appears in the work sheet as follows:  ...

MY Autobody’s adjusted trial balance on December 31, 2020, appears in the work sheet as follows:  

No. Account Debit Credit
101 Cash $ 28,500
124 Shop supplies 2,050
128 Prepaid insurance 4,700
167 Equipment 90,500
168 Accumulated depreciation, equipment $ 8,000
201 Accounts payable 19,500
210 Wages payable 9,360
301 Mike Yang, capital 145,000
302 Mike Yang, withdrawals 38,500
401 Repair revenue 162,130
612 Depreciation expense, equipment 9,000
623 Wages expense 105,000
637 Insurance expense 2,150
640 Rent expense 54,850
650 Office supplies expense 5,300
690 Utilities expense 3,440
Totals $ 343,990 $ 343,990


Required
1.
Prepare closing entries.




2. Prepare the post-closing trial balance at December 31, 2020.

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Answer #1

Solution

Closing Entries
Date Accounts and Explanations Debit Credit
Dec-31 Repair revenue $ 162,130.00
Rent revenue 0
Income Summery $ 162,130.00
(Revenue accounts closed)
Dec-31 Income Summery $ 179,740.00
Depreciation expense-Equipment $       9,000.00
Wages expense $ 105,000.00
Insurance expense $       2,150.00
Rent expense $    54,850.00
Office supplies expense $       5,300.00
Utilities expense $       3,440.00
(Expenses Accounts closed)
Dec-31 Mike Yang, capital $    17,610.00
Income Summery $    17,610.00
(Net income (loss) transferred)
Dec-31 Mike Yang, withdrawals $    38,500.00
Mike Yang, capital $    38,500.00
(To close Withdrawal account)

.

MY Autobody
Closing Trial Balance  
Account Debit Credit
Cash $ 28,500.00
Shop supplies $    2,050.00
Prepaid insurance $    4,700.00
Equipment $ 90,500.00
Accumulated depreciation, equipment $      8,000.00
Accounts payable $     19,500.00
Wages payable $      9,360.00
Mike Yang, capital * $     88,890.00
Totals $ 125,750.00 $     125,750.00

*Beginning balance - Loss - Withdrawal.

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