1. Complete a work sheet for the month. If no amount is required, enter 0.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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The trial balance for Wilson Financial Services on January 31 is as follows:
Wilson Financial Services
Account Name
Cash
Supplies
Prepaid Insurance
Equipment
Accumulated Depreciation,
Equipment
Accounts Payable
L. Wilson, Capital
L. Wilson, Drawing
Financial Services Fees
Wages Expense
Rent Expense
Utilities Expense
Repair Expense
Trial Balance
January 31, 20--
Debit
17,910
Miscellaneous Expense
650
4,500
15,400
3,000
4,025
1,200
430
110
75
47,300
Credit
3,500
2,450
25,800
15,550
47,300
Data for month-end adjustments are as follows:
a. Expired or used-up insurance, $750.
b. Depreciation expense on equipment, $300.
c. Wages accrued or earned since the last payday, $1,055 (owed and to be paid on the next payday).
d. Supplies used, $535.
Required:
1. Complete a work sheet for the month. If no amount is required, enter 0.
Transcribed Image Text:The trial balance for Wilson Financial Services on January 31 is as follows: Wilson Financial Services Account Name Cash Supplies Prepaid Insurance Equipment Accumulated Depreciation, Equipment Accounts Payable L. Wilson, Capital L. Wilson, Drawing Financial Services Fees Wages Expense Rent Expense Utilities Expense Repair Expense Trial Balance January 31, 20-- Debit 17,910 Miscellaneous Expense 650 4,500 15,400 3,000 4,025 1,200 430 110 75 47,300 Credit 3,500 2,450 25,800 15,550 47,300 Data for month-end adjustments are as follows: a. Expired or used-up insurance, $750. b. Depreciation expense on equipment, $300. c. Wages accrued or earned since the last payday, $1,055 (owed and to be paid on the next payday). d. Supplies used, $535. Required: 1. Complete a work sheet for the month. If no amount is required, enter 0.
Required:
1. Complete a work sheet for the month. If no amount is required, enter 0.
1 Cash
2 Supplies
3 Prepaid Insurance
4 Equipment
5 Accum. Depr., Equipment
6 Accounts Payable
7 L. Wilson, Capital
8 L. Wilson, Drawing
9 Financial Services Fees
10 Wages Expense
11 Rent Expense
12 Utilities Expense
13 Repair Expense
14 Miscellaneous Expense
15
16 Insurance Expense
ACCOUNT NAME
17 Depr. Exp., Equipment
18 Wages Payable
19 Supplies Expense
20
21 Net Income
22
Feedback
TRIAL BALANCE
DEBIT
17,910 ✔
650 ✔
4,500 ✔
15,400 ✔
0✔
0✔
0✔
0 ✔
4,025 ✔
X
0
X
0
X
X
X
0✔
X
0 ✓
✓
✓
0✔
CREDIT
0
0
0✔
0
✓
3,500 ✔
2,450 ✔
0
✓
0
X
✓
15,550 ✔
0 ✓
0 ✓
0 ✔
0✔
X
0✔
0✔
0 ✓
0 ✓
0 ✓
ADJUSTMENTS
DEBIT
0
✓
0 ✓
0 ✓
0
✓
0 ✓
0 ✓
0 ✔
0 ✔
0 ✔
1,055 ✔
0 ✓
0 ✓
0 ✓
0✔
0 ✓
750 ✔
300 ✓
0 ✓
0 x
X
0 ✔
Wilson Financial Services
Work Sheet
For Month Ended January 31, 20--
CREDIT
0 ✔
535 ✔
750 ✓
0✔
300 ✓
0✔
0
✓
0✔
0 ✓
0 ✓
0 ✔
0 ✔
0✔
0 ✓
0✔
0✔
0 ✓
0 X
0 ✓
ox
0✔
CREDIT
ADJUSTED TRIAL BALANCE
DEBIT
17,910 ✔
115 ✔
3,750 ✔
15,400 ✔
0 ✓
0 ✔
0 ✔
X
0 ✓
5,080 ✔
0 X
0 X
0 X
0 X
0✔
750 ✔
300 ✔
0 ✓
0
X
X
|
0✔
0✔
0
0
3,800 ✔
2,450 ✔
X
0 ✓
15,550 ✔
0✔
0 ✔
0 ✓
0
0✔
0 ✓
0✔
0 ✓
1,055 ✔
0✔
X
0✔
INCOME STATEMENT
DEBIT
0
0 ✓
✔
0
0
0
✓
0✔
✓
0
✓
0✔
✔
5,080 ✔
0
300
0
X
X
0 ✓
X
X
750 ✓
✓
✓
X
X
X
X
CREDIT
0 ✓
0
✔
0 ✓
✓
0
0
0 ✓
✓
0
0 ✓
15,550 ✔
0 ✔
0
✓
0 ✔
0 ✓
0 ✓
0
0
0
✓
0
✔
✓
✓
0✔
X
0 ✔
BALANCE SHEET
DEBIT
17,910
115 ✔
3,750 ✔
15,400 ✓
0✔
0✔
0 ✓
0 X
0 ✔
0✔
0✔
0
0✔
0✔
0
✓
0 ✔
0 ✓
0✔
0
✓
X
0✔
CREDIT
0 ✔
0✔
0 ✓
0✔
3,800 ✔
2,450 ✔
X
0 ✔
1
2
3
X
4
X
5
6
7
8
0✔ 10
0✔ 11
0✔ 12
0✔ 13
0 ✔
0 ✔
9
15
0✔ 16
0✔ 17
1,055 ✔
0✔
14
18
X 20
19
21
22
Transcribed Image Text:Required: 1. Complete a work sheet for the month. If no amount is required, enter 0. 1 Cash 2 Supplies 3 Prepaid Insurance 4 Equipment 5 Accum. Depr., Equipment 6 Accounts Payable 7 L. Wilson, Capital 8 L. Wilson, Drawing 9 Financial Services Fees 10 Wages Expense 11 Rent Expense 12 Utilities Expense 13 Repair Expense 14 Miscellaneous Expense 15 16 Insurance Expense ACCOUNT NAME 17 Depr. Exp., Equipment 18 Wages Payable 19 Supplies Expense 20 21 Net Income 22 Feedback TRIAL BALANCE DEBIT 17,910 ✔ 650 ✔ 4,500 ✔ 15,400 ✔ 0✔ 0✔ 0✔ 0 ✔ 4,025 ✔ X 0 X 0 X X X 0✔ X 0 ✓ ✓ ✓ 0✔ CREDIT 0 0 0✔ 0 ✓ 3,500 ✔ 2,450 ✔ 0 ✓ 0 X ✓ 15,550 ✔ 0 ✓ 0 ✓ 0 ✔ 0✔ X 0✔ 0✔ 0 ✓ 0 ✓ 0 ✓ ADJUSTMENTS DEBIT 0 ✓ 0 ✓ 0 ✓ 0 ✓ 0 ✓ 0 ✓ 0 ✔ 0 ✔ 0 ✔ 1,055 ✔ 0 ✓ 0 ✓ 0 ✓ 0✔ 0 ✓ 750 ✔ 300 ✓ 0 ✓ 0 x X 0 ✔ Wilson Financial Services Work Sheet For Month Ended January 31, 20-- CREDIT 0 ✔ 535 ✔ 750 ✓ 0✔ 300 ✓ 0✔ 0 ✓ 0✔ 0 ✓ 0 ✓ 0 ✔ 0 ✔ 0✔ 0 ✓ 0✔ 0✔ 0 ✓ 0 X 0 ✓ ox 0✔ CREDIT ADJUSTED TRIAL BALANCE DEBIT 17,910 ✔ 115 ✔ 3,750 ✔ 15,400 ✔ 0 ✓ 0 ✔ 0 ✔ X 0 ✓ 5,080 ✔ 0 X 0 X 0 X 0 X 0✔ 750 ✔ 300 ✔ 0 ✓ 0 X X | 0✔ 0✔ 0 0 3,800 ✔ 2,450 ✔ X 0 ✓ 15,550 ✔ 0✔ 0 ✔ 0 ✓ 0 0✔ 0 ✓ 0✔ 0 ✓ 1,055 ✔ 0✔ X 0✔ INCOME STATEMENT DEBIT 0 0 ✓ ✔ 0 0 0 ✓ 0✔ ✓ 0 ✓ 0✔ ✔ 5,080 ✔ 0 300 0 X X 0 ✓ X X 750 ✓ ✓ ✓ X X X X CREDIT 0 ✓ 0 ✔ 0 ✓ ✓ 0 0 0 ✓ ✓ 0 0 ✓ 15,550 ✔ 0 ✔ 0 ✓ 0 ✔ 0 ✓ 0 ✓ 0 0 0 ✓ 0 ✔ ✓ ✓ 0✔ X 0 ✔ BALANCE SHEET DEBIT 17,910 115 ✔ 3,750 ✔ 15,400 ✓ 0✔ 0✔ 0 ✓ 0 X 0 ✔ 0✔ 0✔ 0 0✔ 0✔ 0 ✓ 0 ✔ 0 ✓ 0✔ 0 ✓ X 0✔ CREDIT 0 ✔ 0✔ 0 ✓ 0✔ 3,800 ✔ 2,450 ✔ X 0 ✔ 1 2 3 X 4 X 5 6 7 8 0✔ 10 0✔ 11 0✔ 12 0✔ 13 0 ✔ 0 ✔ 9 15 0✔ 16 0✔ 17 1,055 ✔ 0✔ 14 18 X 20 19 21 22
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