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MCS,PHD
Argosy University/ Phoniex University/
Nov-2005 - Oct-2011
Professor
Phoniex University
Oct-2001 - Nov-2016
The McMillan Corporation incorporated on September 2, 2011. The company engaged in the following transactions during its first month of operations:
Sept.  2   Issued capital stock in exchange for $900,000 cash.
Sept.  4   Purchased land and a building for $350,000. The value of the land was $50,000, and the value of the building was $300,000. The company paid $200,000 cash and issued a note payable for the balance.
Sept. 12 Purchased office supplies for $600 on account. The supplies will last for several months.
Sept. 19Â Â Â Billed clients $75,000 on account.
Sept. 29Â Â Â Recorded and paid salary expense of $24,000.
Sept. 30Â Â Â Received $30,000 from clients billed on September 19.
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A partial list of the account titles used by the company includes: Cash           Notes Payable
Accounts Receivable Accounts Payable
Office Supplies            Capital Stock
Land                             Client Revenue
Building                        Salary Expense
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a.      Prepare journal entries, including explanations, for the above transactions.
b.      Post each entry to the appropriate ledger accounts (use the T account format illustrated in Exhibit 3–8 on page 108).
c.       Prepare a trial balance dated September 30, 2011. Assume accounts with zero balances are not included in the trial balance.
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