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Elementary,Middle School,High School,College,University,PHD
| Teaching Since: | May 2017 |
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MCS,PHD
Argosy University/ Phoniex University/
Nov-2005 - Oct-2011
Professor
Phoniex University
Oct-2001 - Nov-2016
The Fast Delivery Service submitted the transactions given below. Analyze these business transactions. a. On October 1st, Joseph took $25,000 from personal savings and deposited the amount to open a business checking account in the name of Fast Delivery Service. b. On October 2nd, Joseph took two telephones valued at $200 each from his home and transferred them to the business as office equipment. c. On October 4th, Fast Delivery Service issued check no. 101 for $3,000 to buy a computer system. d. On October 9th, Fast Delivery Service bought a used truck on account from North Shore Auto for $12,000. Instructions: 1. In your notebook, prepare a T account for each account. 2. Analyze and record each of the following business transactions in the appropriate T accounts. 3. Identify each transaction by number. 4. After recording all transactions, compute and record the account balance on the normal balance side of each T account. 5. Add the balances of the accounts with normal debit balances. 6. Add the balance of the accounts with normal credit balance. 7. Compare the two totals.
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