Enter the opening balances in the ledger accounts as at October 1. Write "Balance" in the expla- nation space and insert a check mark (✓) in the reference column. Provision should be made for the following additional accounts: No. 306 Jane Kent, Drawings, No. 426 Laundry Revenue, No. 726 Salaries Expense, and No. 732 Utilities Expense. Journalize the transactions. Post to the ledger accounts. Prepare a trial balance as at October 31, 2003. The October transactions were as follows: Oct. 5 Received $800 cash from customers on account. -10 Billed customers for services performed, $5,500. 15 Paid employee salaries, $1,200. 17 Performed $400 of services for customers who paid in advance in August. 20 Paid $1,600 to creditors on account. 22 Received $200 for services provided for cash (i.e., not on account). 26 Purchased supplies on account, at a cost of $300. 29 Withdrew $500 for personal use. 31 Paid utilities, $600.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
icon
Related questions
icon
Concept explainers
Question
Please use the templates Thank you very much!
Enter the opening balances in the ledger accounts as at October 1. Write "Balance" in the expla-
nation space and insert a check mark (✓) in the reference column. Provision should be made
for the following additional accounts: No. 306 Jane Kent, Drawings, No. 426 Laundry Revenue,
No. 726 Salaries Expense, and No. 732 Utilities Expense.
Journalize the transactions.
Post to the ledger accounts.
Prepare a trial balance as at October 31, 2003.
The October transactions were as follows:
Oct. 5 Received $800 cash from customers on account.
10 Billed customers for services performed, $5,500.
15 Paid employee salaries, $1,200.
17 Performed $400 of services for customers who paid in advance in August.
20 Paid $1,600 to creditors on account.
22 Received $200 for services provided for cash (i.e., not on account).
26 Purchased supplies on account, at a cost of $300.
29 Withdrew $500 for personal use.
31 Paid utilities, $600.
Transcribed Image Text:Enter the opening balances in the ledger accounts as at October 1. Write "Balance" in the expla- nation space and insert a check mark (✓) in the reference column. Provision should be made for the following additional accounts: No. 306 Jane Kent, Drawings, No. 426 Laundry Revenue, No. 726 Salaries Expense, and No. 732 Utilities Expense. Journalize the transactions. Post to the ledger accounts. Prepare a trial balance as at October 31, 2003. The October transactions were as follows: Oct. 5 Received $800 cash from customers on account. 10 Billed customers for services performed, $5,500. 15 Paid employee salaries, $1,200. 17 Performed $400 of services for customers who paid in advance in August. 20 Paid $1,600 to creditors on account. 22 Received $200 for services provided for cash (i.e., not on account). 26 Purchased supplies on account, at a cost of $300. 29 Withdrew $500 for personal use. 31 Paid utilities, $600.
Date
Date
Date
Explanation
Explanation
Explanation
General Ledger
Accounts Payable
Ref.
General Ledger
Cash
Ref.
Accouonts Recievable
Debit
Supplies
Ref.
Debit
Debit
Credit
Credit
Credit
Balance
No.
Balance
No.
No.
Balance
Date
General Journal
Account Titles and Explanations
Ref.
Debit
Credit
Transcribed Image Text:Date Date Date Explanation Explanation Explanation General Ledger Accounts Payable Ref. General Ledger Cash Ref. Accouonts Recievable Debit Supplies Ref. Debit Debit Credit Credit Credit Balance No. Balance No. No. Balance Date General Journal Account Titles and Explanations Ref. Debit Credit
Expert Solution
steps

Step by step

Solved in 2 steps with 2 images

Blurred answer
Knowledge Booster
Completing the Accounting Cycle
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Recommended textbooks for you
FINANCIAL ACCOUNTING
FINANCIAL ACCOUNTING
Accounting
ISBN:
9781259964947
Author:
Libby
Publisher:
MCG
Accounting
Accounting
Accounting
ISBN:
9781337272094
Author:
WARREN, Carl S., Reeve, James M., Duchac, Jonathan E.
Publisher:
Cengage Learning,
Accounting Information Systems
Accounting Information Systems
Accounting
ISBN:
9781337619202
Author:
Hall, James A.
Publisher:
Cengage Learning,
Horngren's Cost Accounting: A Managerial Emphasis…
Horngren's Cost Accounting: A Managerial Emphasis…
Accounting
ISBN:
9780134475585
Author:
Srikant M. Datar, Madhav V. Rajan
Publisher:
PEARSON
Intermediate Accounting
Intermediate Accounting
Accounting
ISBN:
9781259722660
Author:
J. David Spiceland, Mark W. Nelson, Wayne M Thomas
Publisher:
McGraw-Hill Education
Financial and Managerial Accounting
Financial and Managerial Accounting
Accounting
ISBN:
9781259726705
Author:
John J Wild, Ken W. Shaw, Barbara Chiappetta Fundamental Accounting Principles
Publisher:
McGraw-Hill Education