SuperTutor

(15)

$15/per page/Negotiable

About SuperTutor

Levels Tought:
Elementary,Middle School,High School,College,University,PHD

Expertise:
Accounting,Business & Finance See all
Accounting,Business & Finance,Economics,Engineering,HR Management,Math Hide all
Teaching Since: Apr 2017
Last Sign in: 327 Weeks Ago, 5 Days Ago
Questions Answered: 12843
Tutorials Posted: 12834

Education

  • MBA, Ph.D in Management
    Harvard university
    Feb-1997 - Aug-2003

Experience

  • Professor
    Strayer University
    Jan-2007 - Present

Category > Accounting Posted 21 Apr 2017 My Price 12.00

summary transactions

On November 1, 2017, the following were the account balances of Soho Equipment Repair.

 

During November, the following summary transactions were completed.

Nov.8Paid $1,220 for salaries due employees, of which $600 is for November and $620 is for October salaries payable.10Received $1,800 cash from customers in payment of account.12Received $3,700 cash for services performed in November.15Purchased store equipment on account $3,600.17Purchased supplies on account $1,300.20Paid creditors $2,500 of accounts payable due.22Paid November rent $480.25Paid salaries $1,000.27Performed services on account worth $900 and billed customers.29Received $750 from customers for services to be performed in the future.Adjustment data:

  1. Supplies on hand are valued at $1,100.
  2. Accrued salaries payable are $480.
  3. Depreciation for the month is $250.
  4. Services were performed to satisfy $500 of unearned service revenue.

Instructions

(a) Enter the November 1 balances in the ledger accounts. (Use T‐accounts.)

(b) Journalize the November transactions.

(c) Post to the ledger accounts. Use Service Revenue, Depreciation Expense, Supplies Expense, Salaries and Wages Expense, and Rent Expense.

(d) Prepare a trial balance at November 30.

(e) Journalize and post adjusting entries.

(f) Prepare an adjusted trial balance.

(g) Prepare an income statement and a retained earnings statement for November and a classified balance sheet at November 30.

 

(f) Cash$3,840Tot. adj. trial balance$24,680(g) Net income$970

Answers

(15)
Status NEW Posted 21 Apr 2017 02:04 AM My Price 12.00

-----------

Attachments

file 1492740950-Solutions file.docx preview (56 words )
S-----------olu-----------tio-----------ns -----------fil-----------e -----------Hel-----------lo -----------Sir-----------/Ma-----------dam----------- T-----------han-----------k y-----------ou -----------for----------- yo-----------ur -----------int-----------ere-----------st -----------and----------- bu-----------yin-----------g m-----------y p-----------ost-----------ed -----------sol-----------uti-----------on.----------- Pl-----------eas-----------e p-----------ing----------- me----------- on----------- ch-----------at -----------I a-----------m o-----------nli-----------ne -----------or -----------inb-----------ox -----------me -----------a m-----------ess-----------age----------- I -----------wil-----------l b-----------e q-----------uic-----------kly----------- on-----------lin-----------e a-----------nd -----------giv-----------e y-----------ou -----------exa-----------ct -----------fil-----------e a-----------nd -----------the----------- sa-----------me -----------fil-----------e i-----------s a-----------lso----------- se-----------nt -----------to -----------you-----------r e-----------mai-----------l t-----------hat----------- is----------- re-----------gis-----------ter-----------ed -----------on-----------th-----------is -----------web-----------sit-----------e. ----------- H-----------YPE-----------RLI-----------NK -----------&qu-----------ot;-----------htt-----------p:/-----------/wo-----------rkb-----------ank-----------247-----------.co-----------m/&-----------quo-----------t; -----------\t -----------&qu-----------ot;-----------_bl-----------ank-----------&qu-----------ot;----------- -----------Tha-----------nk -----------you----------- -----------
Not Rated(0)