Maurice Tutor

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Algebra,Applied Sciences,Biology,Calculus,Chemistry,Economics,English,Essay writing,Geography,Geology,Health & Medical,Physics,Science Hide all
Teaching Since: May 2017
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Education

  • MCS,PHD
    Argosy University/ Phoniex University/
    Nov-2005 - Oct-2011

Experience

  • Professor
    Phoniex University
    Oct-2001 - Nov-2016

Category > Management Posted 28 Feb 2018 My Price 8.00

June Feldman

*Exercise 2-9 (Part Level Submission Selected transactions from the journal of June Feldman, investment broker, are presented below. Date ccount Titles and Explanation Ref. Debit Credit Aug. 1 Cash 5,350 Owners Capital 5,350 Owners investment of cash in business 10 Cash 2,782 Service Revenue 2,782 (Received cash for services performed) Equipment 12 5,350 Cash 2,461 Notes Payable 2,889 (Purchased equipment for cash and notes payable) 25 Accounts Receivable 1,819 Service Revenue 1,819 (Billed clients for services performed) 31 Cash 963 Accounts Receivable 963 (Receipt of cash on account) (a) Post the transactions to T-accounts. (Post entries in the order presented in the problem statement.) Cash Accounts Receivable Equipment Notes Payable Owners Capital https:lledugen.wilcyplus.com/cdugen/sharedassignment/testiqprint.uni 2/12/2017 Exercise 2-9 (Part Level Submission) Service Revenue

Selected transactions from the journal of June Feldman, investment broker, are presented below. Post the transactions to T-accounts. (Post entries in the order presented in the problem statement.)

Answers

(5)
Status NEW Posted 28 Feb 2018 10:02 PM My Price 8.00

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