Comeplete an income statement based on the following information
Transcribed Image Text: Adjusted Trial Balance
"For the Month Ending 31/8/2021"
Acc. No.
Account
Dr
Cr
201
Accounts Payable
6,330
Accounts receivable
Accum. Depreciation - Motor Vehicle
|Accum. Depreciation - Office Furniture
Advertising Expense
102
27,218
159
17,500
156
6,240
610
4,250
251
Bank Loan
33,990
301
Capital
182,930
Cash
Computer Expense
Consulting Expense
Consulting Fees Payable
101
176,234
601
896
604
6,088
244
3,044
501
Cost of Good Sold
46,435
Depreciation Expense - Motor Vehicle
Depreciation Expense - Office Furniture
Drawings
GST Collected
651
700
655
4B0
302
4,780
222
21,216
111
GST Paid
9,281
605
Insurance Expense
990
Interest Due
Interest Expense
Interest Receivable
Interest Revenue
Inventory
Motor Vehicle
Office Furniture
104 Office Supplies
Office Supplies Expense
PAYG Withheld
Prepaid Insurance
Prepaid Rent
Rent Expense
Sales Commission Expense
240
2,806
603
2,806
143
5,362
403
5,362
103
42,198
158
84,000
155
23,040
16,792
602
40
261
6,781
141
7,920
142
14,560
606
1,820
607
4,643
401
Sales Revenue
1,803,234
Service Revenue
Unearned Revenue
Utilities Expense
Utilities Payable
Wage Expense
Wages Payable
TOTAL
402
28,998
241
7,740
608
6.100
243
2,033
609
34,330
242
15,669
520,963
2,143,873
Relevant information:
1. Adjusting Items:
Date
Description
31/8/21
The motor vehicle is depreciated using the straight line method. It has a useful life of 10 years and a zero residual value.
The business has 7 sales staff. Each sales staff member's GROSS wage is $2100 per fortnight [PAYG withheld of $378). At the end of
31/8/21
the month, the business owed its sales staff 1 week worth of wages and that is yet to be recorded.
Received $28380 (including GST) from a customer at the start of August 2021 for provision of some advanced cleaning services. At the
time, the amount was recorded as unearned revenue and GST collected. The business managed to deliver these services by the end
of August 2021.
31/8/21
On August 1, 2021 the business deposited $19200 into a fixed deposit at ABC Bank. The interest offered was at 8% per annum and
paid quarterly. The interest on the $19200 fixed deposit acrrued by the end of the month is yet to be recorded.
31/8/21
On August 1, 2021 the business paid $18018 (including GST) for 9 months of office rent. This was recorded at the time as Prepaid Rent
31/8/21
and GST Paid.
On August 11, 2021 the business purchased 15 packs of markers worth $660 (including GST) which were recorded as Office Supplies
and GST Paid. Heracles counted the markers at the end of August 2021 and found that 1 packs of these markers have been consumed
but their consumption has not been recorded.
31/8/21
The office furniture is depreciated using the straight line method. It depreciates at 25% per annum and is assumed to have a zero
residual value.
31/8/21
The business hires 5 general office assistants. Each assistant is paid a NET wages of $748 per week [PAYG withheld of $120]. At the
31/8/21
end of the month, the business owed its office assistants 2 weeks of wages and that is yet to be recorded.
On August 1, 2021 the business paid $9801 (including GST) for 9 months of business insurance. This was recorded at the time as
Prepaid Insurance and GST Paid.
31/8/21
Transcribed Image Text: Unadjusted Trial Balance
"For the Month Ending 31/8/2021
Acc. No.
Account
Dr
Cash
Accounts receivable
101
176,234
102
27,218
103
Inventory
Office Supplies
42,198
104
16,832
111
GST Paid
9281
Prepaid Insurance
Prepaid Rent
Interest Receivable
Office Furniture
Accum. Depreciation -Office Furniture
Motor Vehicle
141
8,910
16,380
5234
142
143
155
23,040
156
5,760
158
84,000
Accum. Depreciation - Motor Vehicle
Accounts Payable
GST Collected
Interest Due
Uneamed Revenue
Wages Payable
Utilities Payable
159
16,800
201
222
6,330
18,378
2,806
240
241
36,120
242
1830
2,033
243
244
Consulting Fees Payable
3,044
33,990
Bank Loan
PAYG Withheld
Capital
Drawings
Sales Revenue
Service Revenue
Interest Revenue
251
261
4,590
301
182,930
302
4,780
154,782
28,998
401
402
403
5,234
501
Cost of Good Sold
46,435
896
Computer Expense
Office Supplies Expense
Interest Expense
Consulting Expense
601
602
603
2,806
604
6,088
Insurance Expense
Rent Expense
Sales Commission Expense
Utilities Expense
Wage Expense
Advertising Expense
Depreciation Expense - Motor Vehicle
Depreciation Expense - Office Fumiture
TOTAL
605
606
607
4,643
608
6,100
609
18,300
610
4,250
651
655
503,625
503,625
The General Journal
Date
Accounts
Dr
Cr
Depreciation Expense - Motor Vehicle
Accum. Depreciation - Motor Vehicle
31/08/2021
700
700
31/08/2021
Wage Expense
Wages Payable
PAYG Withheld
7,350
6,027
1,323
31/08/2021
Unearned Revenue
28,380
Sales Revenue
25,542
GST Collected
2,838
31/08/2021
Interest Receivable
128
Interest Revenue
128
31/08/2021
Rent Expense
1,820
Prepaid Rent
1,820
31/08/2021
Office Supplies Expense
40
Office Supplies
40
Depreciation Expense - Office Furniture
Accum. Depreciation - Office Furniture
31/08/2021
480
480
31/08/2021
Wage Expense
Wages Payable
PAYG Withheld
8,680
7,812
868
31/08/2021
Insurance Expense
990
Prepaid Insurance
990
ТОTAL
48,568
48,568