c. Prepare a trial balance. SMITH TRAINING COMPANY Trial Balance December 31, Year 1 Debit Account Titles Credit

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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Problem 13-33A (Algo) Comprehensive problem: single cycle LO 13-1, 13-2, 13-3, 13-4
[The following information applies to the questions displayed below.]
The following transactions pertain to Smith Training Company for Year 1:
January 30
February 1
April 10
July 1
July 20
August 15
September
Established the business when it acquired $45,000 cash from the issue of common
stock.
Paid rent for office space for two years, $30,000 cash.
Purchased $810 of supplies on account.
Received $25,500 cash in advance for services to be provided over the next
year.
Paid $608 of the accounts payable from April 10.
Billed a customer $9,400 for services provided during August.
Completed a job and received $3,400 cash for services rendered.
15
October 1
Paid employee salaries of $32,500 cash.
October 15 Received $7,600 cash from accounts receivable.
November 16 Billed customers $33,500 for services rendered on account.
December 1 Paid a dividend of $600 cash to the stockholders.
December 31 Adjusted records to recognize the services provided on the contract of July 1.
December 31 Recorded $2,350 of accrued salaries as of December 31.
December 31 Recorded the rent expense for the year. (See February 1.).
December 31 Physically counted supplies; $130 was on hand at the end of the period.
Problem 13-33A (Algo) Part c
Transcribed Image Text:Required information Problem 13-33A (Algo) Comprehensive problem: single cycle LO 13-1, 13-2, 13-3, 13-4 [The following information applies to the questions displayed below.] The following transactions pertain to Smith Training Company for Year 1: January 30 February 1 April 10 July 1 July 20 August 15 September Established the business when it acquired $45,000 cash from the issue of common stock. Paid rent for office space for two years, $30,000 cash. Purchased $810 of supplies on account. Received $25,500 cash in advance for services to be provided over the next year. Paid $608 of the accounts payable from April 10. Billed a customer $9,400 for services provided during August. Completed a job and received $3,400 cash for services rendered. 15 October 1 Paid employee salaries of $32,500 cash. October 15 Received $7,600 cash from accounts receivable. November 16 Billed customers $33,500 for services rendered on account. December 1 Paid a dividend of $600 cash to the stockholders. December 31 Adjusted records to recognize the services provided on the contract of July 1. December 31 Recorded $2,350 of accrued salaries as of December 31. December 31 Recorded the rent expense for the year. (See February 1.). December 31 Physically counted supplies; $130 was on hand at the end of the period. Problem 13-33A (Algo) Part c
c. Prepare a trial balance.
SMITH TRAINING COMPANY
Trial Balance
December 31, Year 1
Debit
Account Titles
Totals
$
0 $
Credit
0
Transcribed Image Text:c. Prepare a trial balance. SMITH TRAINING COMPANY Trial Balance December 31, Year 1 Debit Account Titles Totals $ 0 $ Credit 0
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