Complete the worksheet of Nikita Repairs Services and prepare the Statement Financial Performance, Statement of Changes in Equity and Statement of Financial Position. Additional Information for the adjusments: a. Physical count for inventory on Dec. 21, 2019 amounted to $15,000 b.Equipment is acquired on Dec. 2019 with 5 useful life and 10,000 salvage value. c. Accrued Salaries amounted to $10,000

FINANCIAL ACCOUNTING
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ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Complete the worksheet of Nikita Repairs Services and prepare the Statement Financial Performance, Statement of Changes in Equity and Statement of Financial Position.

Additional Information for the adjusments:
a. Physical count for inventory on Dec. 21, 2019 amounted to $15,000
b.Equipment is acquired on Dec. 2019 with 5 useful life and 10,000 salvage value.
c. Accrued Salaries amounted to $10,000


Alf
AIt
Nikita Repairs Services
Worksheet
December 31, 2019
Balance Sheet
Income Statement
Adjusted Trial Balance
Dr
Acct
Dr
Adjustments
Dr
Cr
Unadjusted Trial Balance
Dr
Cr
Account Names
No.
Cr
Dr
Cr
Cr
100 Cash
110 JAccounts Receivable
120 Suppies!nventory
130 Equipment
135 Accum. Dep.- Equip.
200 Accounts Payable
210 Salaries Payable
300 K. Nikita, Capital
310 K. Nikita, Drawing
400 jService Revenues
500 jSaiaries Expense
510 Depreciation Exp.-Equip.
520 Supples Expense
530 Transportation Expense
540 Insurance Expense
550 Miscellaneous Expense
P 1,430,000
432,020
33,000
250,000
P
232,400
1,791,820
550,000
1,342,320
480,500
120,400
34,020
32,100
4,500
Totals
P 3,366,540P 3,366,540
Totals
als of Acco
atals
CIHS use only
Transcribed Image Text:Alf AIt Nikita Repairs Services Worksheet December 31, 2019 Balance Sheet Income Statement Adjusted Trial Balance Dr Acct Dr Adjustments Dr Cr Unadjusted Trial Balance Dr Cr Account Names No. Cr Dr Cr Cr 100 Cash 110 JAccounts Receivable 120 Suppies!nventory 130 Equipment 135 Accum. Dep.- Equip. 200 Accounts Payable 210 Salaries Payable 300 K. Nikita, Capital 310 K. Nikita, Drawing 400 jService Revenues 500 jSaiaries Expense 510 Depreciation Exp.-Equip. 520 Supples Expense 530 Transportation Expense 540 Insurance Expense 550 Miscellaneous Expense P 1,430,000 432,020 33,000 250,000 P 232,400 1,791,820 550,000 1,342,320 480,500 120,400 34,020 32,100 4,500 Totals P 3,366,540P 3,366,540 Totals als of Acco atals CIHS use only
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