3. Reversing Entries   Happy Valley Worksheet (Unadjusted to Adjusted TB om

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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Based on the given information below, prepare the following:
1. Closing Entries
2. Post-Closing Trial Balance
3. Reversing Entries

 

Happy Valley
Worksheet (Unadjusted to Adjusted TB omitted)
For the month ended March 31, 2021

 

 
   Statement of Income   Statement of Financial Position 
   Dr   Cr   Dr   Cr 
Cash on Hand              87,904.00  
Cash in Bank        2,114,640.00  
Accounts Receivable              35,000.00  
Allowance for Bad Debts                  1,750.00
Notes Receivable                4,000.00  
Interest Receivable                      40.00  
Amusement Rides        2,400,000.00  
Accumulated Depreciation - Amusement Rides                18,000.00
Electronic Equipment              80,896.00  
Accumulated Depreciation - Electronic Equipment                  2,136.00
Furniture and Fixtures              24,000.00  
Accumulated Depreciation - Furniture and Fixtures                      360.00
Accounts Payable                15,400.00
Notes Payable                80,000.00
Interest Payable                  1,600.00
SS Premiums Payable                  2,880.00
EC Premiums Payable                        64.00
Philhealth Premiums Payable                  1,280.00
Pag-Ibig Premiums Payable                      960.00
Withholding Taxes Payable                  3,760.00
Utilities Payable                  2,400.00
Mortgage Payable              400,000.00
Masaya, Capital          4,200,000.00
Masaya, Drawing                7,500.00  
Ticket Sales        44,960.00    
Rental Income        89,600.00    
Interest Income                40.00    
Advertising Expense      16,000.00      
Salaries Expense      48,000.00      
EC Premium Expense              64.00      
Pag-Ibig Premium Expense            480.00      
Philhealth Premium Expense            640.00      
SS Premium Expense        1,920.00      
Rent Expense        8,000.00      
Taxes and Licenses Expense        1,460.00      
Utility Expense      10,800.00      
Interest Expense        1,600.00      
Bad Debts Expense        1,750.00      
Depreciation Expense      20,496.00      
Total    111,210.00    134,600.00    4,753,980.00    4,730,590.00
Net Income      23,390.00              23,390.00
Total    134,600.00    134,600.00    4,753,980.00    4,753,980.00

 

Additional Information:
This is the company's 1st month of operations.
The Notes Receivable is a 90-day note.
The Notes Payable is a 1-year note maturing March 18, 2021.  It was issued to acquire the Electronic Equipment.
The Mortgage Payable matures on March 3, 2026.
The Furniture and Fixtures was acquired by paying cash of P8,600 and the balance on the account (Accounts Payable of P15,400)

 

GENERAL JOURNAL
Date Particulars  f  Dr  Cr
         
Mar 31 EC Premium Expense              64.00  
  SS Premium Expense            480.00  
  Philhealth Premium Expense            640.00  
  Pag-Ibis Premium Expense        1,920.00  
    EC Premiums Payable              64.00
    SS Premiums Payable            480.00
    Philhealth Premiums Payable            640.00
    Pag-Ibig Premiums Payable        1,920.00
  Accrual for employer's share on payroll taxes.      
         
  Depreciation Expense      20,496.00  
    Accumulated Depreciation - Amusement Rides      18,000.00
    Accumulated Depreciation - Electronic Equipment        2,136.00
    Accumulated Depreciation - Furniture and Fixtures            360.00
  Depreciation expense for the month.      
         
  Bad Debts Expense        1,750.00  
    Allowance for Bad Debts        1,750.00
  Bad Debts Expense for the month.      
         
  Interest Expense        1,600.00  
    Interest Payable      16,000.00
  Accrued interest on mortgage and notes Payable      
         
  Interest Receivable                40.00  
    Interest Income              40.00
  Accrued interest on Notes Receivable.      
         
  Utilities Expense        2,400.00  
    Utilities Payable        2,400.00
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