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Elementary,Middle School,High School,College,University,PHD
| Teaching Since: | May 2017 |
| Last Sign in: | 402 Weeks Ago, 6 Days Ago |
| Questions Answered: | 66690 |
| Tutorials Posted: | 66688 |
MCS,PHD
Argosy University/ Phoniex University/
Nov-2005 - Oct-2011
Professor
Phoniex University
Oct-2001 - Nov-2016
Accounting Help-Preparing and posting journal entries; and preparing a trial balance.? Shelton Engineering completed the following transaction in the month of June. Received a bill for rent of equipment that was used on a recently completed job. The 1,200 rent must be paid within 30 days. Collected 7,200 cash in partial payment from the client described in transaction (g) transaction (G)- Completed 12,000 of engineering services for a client . This amount is to be received in 30 days. Paid 1,500 cash for wages to a drafting assistant Paid 2,250 cash to settle the account payable created in transaction (h) Transaction (H)- Purchased 2,250 of additional office equipment on credit. Paid 675 cash for minor repairs to the drafting equipment Shelton withdrew 9,360 cash for personal use Paid 1,500 cash for wages to a drafting assistant Paid 3,000 cash for advertisement in the local newspaper during June.
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