Information for adjustments is as follows: a. Supplies available at the end of the current fiscal year total $3,400. b. Cost of expired insurance for the current fiscal year is $2,500. c. Annual depreciation on equipment is $28,200. d. June utilities expense of $1,100 is not included in the unadjusted trial balance because the bill arrived after the trial balance was prepared. The $1,100 amount owed must be recorded. e. Employees have earned $4,800 of accrued and unpaid wages at fiscal year-end. f. Rent expense incurred and not yet paid or recorded at fiscal year-end is $2,400. g. Additional property taxes of $1,600 have been assessed for this fiscal year but have not been paid of recorded at fiscal year-end. h. $600 accrued interest for June has not yet been paid or recorded.

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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second photo is the unadjusted ledger

Information for adjustments is as follows:
a. Supplies available at the end of the current fiscal year total $3,400.
b. Cost of expired insurance for the current fiscal year is $2,500.
c. Annual depreciation on equipment is $28,200.
d. June utilities expense of $1,100 is not included in the unadjusted trial balance because the bill arrived
after the trial balance was prepared. The $1,100 amount owed must be recorded.
e. Employees have earned $4,800 of accrued and unpaid wages at fiscal year-end.
f. Rent expense incurred and not yet paid or recorded at fiscal year-end is $2,400.
g. Additional property taxes of $1,600 have been assessed for this fiscal year but have not been paid or
recorded at fiscal year-end.
h. $600 accrued interest for June has not yet been paid or recorded.
Transcribed Image Text:Information for adjustments is as follows: a. Supplies available at the end of the current fiscal year total $3,400. b. Cost of expired insurance for the current fiscal year is $2,500. c. Annual depreciation on equipment is $28,200. d. June utilities expense of $1,100 is not included in the unadjusted trial balance because the bill arrived after the trial balance was prepared. The $1,100 amount owed must be recorded. e. Employees have earned $4,800 of accrued and unpaid wages at fiscal year-end. f. Rent expense incurred and not yet paid or recorded at fiscal year-end is $2,400. g. Additional property taxes of $1,600 have been assessed for this fiscal year but have not been paid or recorded at fiscal year-end. h. $600 accrued interest for June has not yet been paid or recorded.
No.
No.
No.
No.
No.
No.
No.
No.
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Accumulated depreciation
Date
June 30
Date
June 30
Date
June 30
Cash
Date
June 30
Debit
Prepaid insurance
Debit
Debit
Debit
Dividends
Long-term notes payable
Credit
Debit
Credit
Wages expense
Debit
Rent expense
Debit
Credit
- Equipment
Credit
Credit
Credit
Credit
Repairs expense
Debit
Credit
General Ledger Account
Balance
117,300
Balance
7,500
Balance
56,400
Balance
60,000
Balance
26,000
Balance
50,000
Balance
26,400
Balance
4,100
No.
No.
No.
No.
No.
No.
No.
No.
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Date
June 30
Supplies
Debit
Equipment
Debit
Credit
Credit
Accounts payable
Debit
Credit
Retained earnings
Debit
Debit
Credit
Construction revenue
Debit
Credit
Interest expense
Debit
Credit
Property taxes expense
Credit
Utilities expense
Debit
Credit
Balance
10,200
Balance
141,000
Balance
11,300
Balance
114,000
Balance
168,000
Balance
6,600
Balance
9,600
Balance
11,000
Transcribed Image Text:No. No. No. No. No. No. No. No. Date June 30 Date June 30 Date June 30 Date June 30 Accumulated depreciation Date June 30 Date June 30 Date June 30 Cash Date June 30 Debit Prepaid insurance Debit Debit Debit Dividends Long-term notes payable Credit Debit Credit Wages expense Debit Rent expense Debit Credit - Equipment Credit Credit Credit Credit Repairs expense Debit Credit General Ledger Account Balance 117,300 Balance 7,500 Balance 56,400 Balance 60,000 Balance 26,000 Balance 50,000 Balance 26,400 Balance 4,100 No. No. No. No. No. No. No. No. Date June 30 Date June 30 Date June 30 Date June 30 Date June 30 Date June 30 Date June 30 Date June 30 Supplies Debit Equipment Debit Credit Credit Accounts payable Debit Credit Retained earnings Debit Debit Credit Construction revenue Debit Credit Interest expense Debit Credit Property taxes expense Credit Utilities expense Debit Credit Balance 10,200 Balance 141,000 Balance 11,300 Balance 114,000 Balance 168,000 Balance 6,600 Balance 9,600 Balance 11,000
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