Post-Closing Trial Balance August 2023 Michael's bush Café. and Post-Closing Trial Balance As at 31st August 2023 Cash Accounts Receivable General & Office Supplies Inventory Pre-paid insurance Motor Vehicle $22,221 $0 $950 $19,856 $15,000 $30,000

College Accounting, Chapters 1-27
23rd Edition
ISBN:9781337794756
Author:HEINTZ, James A.
Publisher:HEINTZ, James A.
Chapter16: Accounting For Accounts Receivable
Section: Chapter Questions
Problem 8SPB: UNCOLLECTIBLE ACCOUNTSALLOWANCE METHOD Lewis Warehouse used the allowance method to record the...
icon
Related questions
icon
Concept explainers
Question
100%

Make balance sheet for the information given below 

Shelly Beach Cafe accounting transactions for September 2023
01/09/2023 Paid $3,000 using cash for a 6 month social media campaign.
Paid Bush Providores latest account of $5, 650 with cash.
Received the September telephone bill valued at $475 payable on the 28th
September.
Bush Providores delivered 59,460 worth on inventory payable on account.
03/09/2023
05/09/2023
06/09/2023
07/09/2023 Weekly Cafe sales of $16,651 banked.
07/09/2023 Weekly cabin sales of $3,750 banked.
07/09/2023 Cost of sales (inventory used) $4,966.
07/09/2023
07/09/2023
11/09/2023
12/09/2023
14/09/2023 Weekly Cafe sales of $13,559 banked.
14/09/2023
Weekly cabin sales of $2,250 banked.
Cost of sales (inventory used) $4,210.
Paid the cleaner cash wages for 3 cabins cleaned.
Paid Alice and Camilla cash wages for the week ended 14/09/2023
14/09/2023
14/09/2023
14/09/2023
15/09/2023 Paid for a guide cash for ICMS group bush walk $400.
16/09/2023
Paid $180 cash for fuel for the Landcruiser.
Bush Providores delivered S8,374 worth of inventory payable on account.
Paid Bush Providores account from 06/09/2023.
Invoiced balance to ICMS for their stay (5 Cabins I week).
Weekly Cafe sales of $15,021 banked.
Cost of sales (inventory used) $5,158.
Paid the cleaner cash for 5 cabins cleaned
Paid Alice and Camilla wages for the week ended 21/09/2023
Received a 50% cash deposit for 5 cabins in November 2023
Paid $730 cash for Landcruiser service
19/09/2023
20/09/2023
21/09/2023
21/09/2023
21/09/2023
21/09/2023
21/09/2023
22/09/2023
23/09/2023
Paid the cleaner cash wages for 5 cabins cleaned.
Paid Alice and Camilla cash wages for the week ended 07/09/2023.
Paid last month's Endeavour Energy electricity bill of $2,150.
Paid $175 cash for fuel for the Landcruiser.
24/09/2023 Paid Bush Air Conditioning Services cash for Air Conditioner repair
$1,250.
Shelly Beach Cafe accounting transactions for September 2023
28/09/2023 Weekly Cafe sales $14,351 banked
28/09/2023 Weekly Cabin sales $1,500 banked
28/09/2018
28/09/2023
Cost of sales (inventory used) $4,388.
28/09/2023 Paid the cleaner cash for 2 cabins cleaned
Paid the telephone bill received on 05/09/2023.
30/09/2023
Paid Michael and Roberta's wage for September 2023.
Note: This may not represent all the transactions for the period. You will need also need to
reference the background information provided on page 1 to see what other transactions are
relevant for September.
Transcribed Image Text:Shelly Beach Cafe accounting transactions for September 2023 01/09/2023 Paid $3,000 using cash for a 6 month social media campaign. Paid Bush Providores latest account of $5, 650 with cash. Received the September telephone bill valued at $475 payable on the 28th September. Bush Providores delivered 59,460 worth on inventory payable on account. 03/09/2023 05/09/2023 06/09/2023 07/09/2023 Weekly Cafe sales of $16,651 banked. 07/09/2023 Weekly cabin sales of $3,750 banked. 07/09/2023 Cost of sales (inventory used) $4,966. 07/09/2023 07/09/2023 11/09/2023 12/09/2023 14/09/2023 Weekly Cafe sales of $13,559 banked. 14/09/2023 Weekly cabin sales of $2,250 banked. Cost of sales (inventory used) $4,210. Paid the cleaner cash wages for 3 cabins cleaned. Paid Alice and Camilla cash wages for the week ended 14/09/2023 14/09/2023 14/09/2023 14/09/2023 15/09/2023 Paid for a guide cash for ICMS group bush walk $400. 16/09/2023 Paid $180 cash for fuel for the Landcruiser. Bush Providores delivered S8,374 worth of inventory payable on account. Paid Bush Providores account from 06/09/2023. Invoiced balance to ICMS for their stay (5 Cabins I week). Weekly Cafe sales of $15,021 banked. Cost of sales (inventory used) $5,158. Paid the cleaner cash for 5 cabins cleaned Paid Alice and Camilla wages for the week ended 21/09/2023 Received a 50% cash deposit for 5 cabins in November 2023 Paid $730 cash for Landcruiser service 19/09/2023 20/09/2023 21/09/2023 21/09/2023 21/09/2023 21/09/2023 21/09/2023 22/09/2023 23/09/2023 Paid the cleaner cash wages for 5 cabins cleaned. Paid Alice and Camilla cash wages for the week ended 07/09/2023. Paid last month's Endeavour Energy electricity bill of $2,150. Paid $175 cash for fuel for the Landcruiser. 24/09/2023 Paid Bush Air Conditioning Services cash for Air Conditioner repair $1,250. Shelly Beach Cafe accounting transactions for September 2023 28/09/2023 Weekly Cafe sales $14,351 banked 28/09/2023 Weekly Cabin sales $1,500 banked 28/09/2018 28/09/2023 Cost of sales (inventory used) $4,388. 28/09/2023 Paid the cleaner cash for 2 cabins cleaned Paid the telephone bill received on 05/09/2023. 30/09/2023 Paid Michael and Roberta's wage for September 2023. Note: This may not represent all the transactions for the period. You will need also need to reference the background information provided on page 1 to see what other transactions are relevant for September.
Post-Closing Trial Balance August 2023
Michael's bush Café. and Post-Closing Trial Balance As at 31st August
2023
Cash
Accounts Receivable
General & Office Supplies
Inventory
Pre-paid insurance
Motor Vehicle
Accumulated Depreciation
(Motor Vehicle)
Plant & Equipment
Accumulated Depreciation
(Plant & Equipment)
Goodwill
Accounts Payable
Salaries Payable
Bank Loan
Deposits received
Capital
Retained Earnings
TOTAL
$22,221
$0
$950
$19,856
$15,000
$30,000
$115,000
$159,832
$362,859
$800
$6,400
$18,242
$12,000
$250,000
$1,875
$50,000
$23,542
$362,859
Transcribed Image Text:Post-Closing Trial Balance August 2023 Michael's bush Café. and Post-Closing Trial Balance As at 31st August 2023 Cash Accounts Receivable General & Office Supplies Inventory Pre-paid insurance Motor Vehicle Accumulated Depreciation (Motor Vehicle) Plant & Equipment Accumulated Depreciation (Plant & Equipment) Goodwill Accounts Payable Salaries Payable Bank Loan Deposits received Capital Retained Earnings TOTAL $22,221 $0 $950 $19,856 $15,000 $30,000 $115,000 $159,832 $362,859 $800 $6,400 $18,242 $12,000 $250,000 $1,875 $50,000 $23,542 $362,859
Expert Solution
steps

Step by step

Solved in 4 steps with 4 images

Blurred answer
Knowledge Booster
Completing the Accounting Cycle
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Similar questions
  • SEE MORE QUESTIONS
Recommended textbooks for you
College Accounting, Chapters 1-27
College Accounting, Chapters 1-27
Accounting
ISBN:
9781337794756
Author:
HEINTZ, James A.
Publisher:
Cengage Learning,
Cornerstones of Financial Accounting
Cornerstones of Financial Accounting
Accounting
ISBN:
9781337690881
Author:
Jay Rich, Jeff Jones
Publisher:
Cengage Learning
Financial Accounting
Financial Accounting
Accounting
ISBN:
9781337272124
Author:
Carl Warren, James M. Reeve, Jonathan Duchac
Publisher:
Cengage Learning