FINANCIAL ACCOUNTING
6th Edition
ISBN: 9781618533111
Author: DYCKMAN
Publisher: Cambridge Business Publishers
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Question
Chapter 3, Problem 40P
a.
To determine
Prepare T-accounts from the given accounts.
b.
To determine
Record transactions using financial statement effects template and in the form of journal entry
c.
To determine
Prepare an unadjusted trial balance.
d.
To determine
Prepare adjusting entries using financial statement effects template and in the form of journal entry.
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Prepare journal entries to record the December transactions in the General Journal Tab in the excel template file Use the following accounts as appropriate:
Cash. Land. Notes Payable. Depreciation Expense. Accounts Receivable. Accumulated Depreciation. Common Stock. Salaries Expense. Supplies. Accounts Payable. Retained Earnings. Supplies Expense. Prepaid Insurance. Deferred Revenue. Dividends. Rent Expense. Equipment. Salaries Payable. Service Revenue. Insurance Expense
1-Dec: Issue common stock in exchange for cash of $6,000.
1-Dec: Paid the premium in advance on a one-year insurance policy, $480.
1-Dec: Purchased Equipment for $3,600 cash.
5-Dec: Purchased office supplies from XYZ Company on account, $400.
15-Dec: Provided services to customers for $5,400 cash.
16-Dec: Provided services to customer ABC Inc. on account, $2,500.
17-Dec: Received $800 cash in advance from a customer for services to be provided in January.
22-Dec: Paid $220 to XYZ company for the Dec 5 purchase on…
Instruction: You are given the Trial Balance of Quick Service Company. You are asked to review its
preparation and prepare a corrected one. Below are some of the data your discovered and gathered:
QUICK SERVICE COMPANY
Trial Balance
December 31, 2019
Account Title
Debit
Credit
Cash on Hand
Accounts Receivable
Supplies Inventory
Prepaid Rent
Furniture and Fixtures
Delivery Equipment
Accounts Payable
Roces, Capital
Roces, Drawing
Service Income
25,000
10,000
1,000
2,000
8,000
18,000
18,000
38,000
1,000
24,000
Salary Expense
Commission Expense
Taxes and Licenses
5,000
1,000
1,000
86,000
Total
P
80,000
Adjustment Data:
1. An amount of P10,000 of the Account Receivable were posted to the cash account.
2. A debit of P2,000 to delivery equipment was posted to furniture and fixtures.
3. A credit of P8,000 to Service Income was posted twice.
4. To debit column was wrongly footed.
P.
ACCOUNTING PROCEDURES, POLICIES, AND
INSTRUCTIONS
I. Maja’s Consultancy reports its operations monthly.
II. Maja’s Consultancy uses voucher system for every cash disbursement.
III. Prepaid expenses are recorded using asset method.
IV. Instructions:
a) Journalize each transaction using the source documents provided.
b) Post the journalized transactions to its corresponding general ledger.
c) Prepare trial balance.
d) Determine the balances in each account and prepare the unadjusted trial
balance in the worksheet.
e) Answer the data for adjustments.
f) Journalize the adjusting entries and prepare it in the worksheet.
g) Complete the worksheet.
h) Prepare the financial statements.
i) Post the adjusting entries
j) Journalize and post the closing entries.
k) Prepare the post-closing trial balance.
V. Data for adjusting entries:
a) Per count, the office supplies on hand amounted to P2,000.
b) Received the September billing from PLDT, P1,500.
c) 1% of accounts receivable is uncollectible.…
Chapter 3 Solutions
FINANCIAL ACCOUNTING
Ch. 3 - Prob. 1MCCh. 3 - Prob. 2MCCh. 3 - Prob. 3MCCh. 3 - Prob. 4MCCh. 3 - Prob. 5MCCh. 3 - Prob. 1QCh. 3 - Prob. 2QCh. 3 - Prob. 3QCh. 3 - Prob. 4QCh. 3 - Prob. 5Q
Ch. 3 - Prob. 6QCh. 3 - Prob. 7QCh. 3 - Prob. 8QCh. 3 - Prob. 9QCh. 3 - Prob. 10QCh. 3 - Prob. 11QCh. 3 - Prob. 12QCh. 3 - Prob. 13QCh. 3 - Prob. 14QCh. 3 - Prob. 15QCh. 3 - Prob. 16QCh. 3 - Prob. 17QCh. 3 - Prob. 18QCh. 3 - Prob. 19QCh. 3 - Prob. 20QCh. 3 - Prob. 21MECh. 3 - Prob. 22MECh. 3 - Prob. 23MECh. 3 - Prob. 24MECh. 3 - Prob. 25MECh. 3 - Prob. 26MECh. 3 - Prob. 27MECh. 3 - Prob. 28MECh. 3 - Prob. 29MECh. 3 - Prob. 30MECh. 3 - Prob. 31ECh. 3 - Prob. 32ECh. 3 - Prob. 33ECh. 3 - Prob. 34ECh. 3 - Prob. 35ECh. 3 - Prob. 36ECh. 3 - Prob. 37ECh. 3 - Prob. 38ECh. 3 - Prob. 39ECh. 3 - Prob. 40PCh. 3 - Prob. 41PCh. 3 - Prob. 42PCh. 3 - Prob. 43PCh. 3 - Prob. 44PCh. 3 - Prob. 45PCh. 3 - Prob. 46PCh. 3 - Prob. 47PCh. 3 - Prob. 48PCh. 3 - Prob. 49PCh. 3 - Prob. 50PCh. 3 - Prob. 51PCh. 3 - Prob. 52PCh. 3 - Prob. 53PCh. 3 - Prob. 54PCh. 3 - Prob. 55CPCh. 3 - Prob. 56CPCh. 3 - Prob. 57CPCh. 3 - Prob. 58CP
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