Journal Entries • Ledger Postings (T-Account) • Unadjusted Trial Balance

Century 21 Accounting General Journal
11th Edition
ISBN:9781337680059
Author:Gilbertson
Publisher:Gilbertson
Chapter14: Accounting For Uncollectible Accounts Receivable
Section14.2: Writing Off And Collecting Uncollectible Accounts Receivable
Problem 1WT
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REQUIRED: • Journal EntriesLedger Postings (T-Account) • Unadjusted Trial Balance • Adjustments • Adjusted Trial Balance. • Income Statement, • the Statement of Equity • the Balance Sheet • Closing Entries Please complete the cycle, I really need help
20 recorded services provided on account, P168,000
24 recorded cash from clients for fees earned, P44,500
26 received cash from clients on account, P265,000
27 paid receptionist for 2 weeks' salary, P16,500
29 paid telephone bill for June, P5,400
30
paid electric bill for June, P7,600
30 recorded cash from clients for fees earned, P51,600
30 recorded services provided on account, P25,900
30 - Juan withdrew P180,000
Transcribed Image Text:20 recorded services provided on account, P168,000 24 recorded cash from clients for fees earned, P44,500 26 received cash from clients on account, P265,000 27 paid receptionist for 2 weeks' salary, P16,500 29 paid telephone bill for June, P5,400 30 paid electric bill for June, P7,600 30 recorded cash from clients for fees earned, P51,600 30 recorded services provided on account, P25,900 30 - Juan withdrew P180,000
Assignment: Completing the Accounting Cycle
January 6, 2023
For the past several years, Juan de la Cruz has operated a part-time consulting business from his home. As
of June 1 2019, Juan decided to move to rented quarters & operate a business, which was to be known as
JC Consulting, on a full time basis. JC Consulting entered into the following transactions in June:
Instructions:
A. Journalize each transaction, referring to the following Chart of Accounts
11 Cash
31 Juan de la Cruz, Capital
32 Juan de la Cruz, Drawing
33 Income Summary
41 Fees Earned
51 Salary Expense
52 Rent Expense
53 Supplies Expense
54 Depreciation Expense
55 Insurance Expense
59 Miscellaneous Expense
June
12 Accounts Receivable
14 Supplies
15 Prepaid Rent
16 Prepaid Insurance
18 Office Equipment
19 Accum. Depreciation
21 Accounts Payable
22 Salary Payable
23 Unearned Fees
1 - the following assets were received from Juan de la Cruz: Cash P200,000, accounts receivable
P147,000, supplies P33,000 and office equipment P120,000. There were no liabilities received
1 - paid three months' rent, P60,000
2 - paid premium on property & casualty insurance policies, P42,000
4 - received cash from clients as advance payment for services to be provided and recorded it as
unearned fees, P94,000
5 - purchased additional office equipment on account from Abenson, P80,000
6 received cash from clients on account, P117,000
10 - paid cash for newspaper ad, P3,500
12 - paid Abenson for part of debt incurred June 5, P64,000
12- recorded services provided on account, P219,000
14 - paid receptionist for 2 weeks' salary, P16,500
17 - recorded cash from clients for fees earned, P66,000
18 - paid cash for supplies, P7,250
Transcribed Image Text:Assignment: Completing the Accounting Cycle January 6, 2023 For the past several years, Juan de la Cruz has operated a part-time consulting business from his home. As of June 1 2019, Juan decided to move to rented quarters & operate a business, which was to be known as JC Consulting, on a full time basis. JC Consulting entered into the following transactions in June: Instructions: A. Journalize each transaction, referring to the following Chart of Accounts 11 Cash 31 Juan de la Cruz, Capital 32 Juan de la Cruz, Drawing 33 Income Summary 41 Fees Earned 51 Salary Expense 52 Rent Expense 53 Supplies Expense 54 Depreciation Expense 55 Insurance Expense 59 Miscellaneous Expense June 12 Accounts Receivable 14 Supplies 15 Prepaid Rent 16 Prepaid Insurance 18 Office Equipment 19 Accum. Depreciation 21 Accounts Payable 22 Salary Payable 23 Unearned Fees 1 - the following assets were received from Juan de la Cruz: Cash P200,000, accounts receivable P147,000, supplies P33,000 and office equipment P120,000. There were no liabilities received 1 - paid three months' rent, P60,000 2 - paid premium on property & casualty insurance policies, P42,000 4 - received cash from clients as advance payment for services to be provided and recorded it as unearned fees, P94,000 5 - purchased additional office equipment on account from Abenson, P80,000 6 received cash from clients on account, P117,000 10 - paid cash for newspaper ad, P3,500 12 - paid Abenson for part of debt incurred June 5, P64,000 12- recorded services provided on account, P219,000 14 - paid receptionist for 2 weeks' salary, P16,500 17 - recorded cash from clients for fees earned, P66,000 18 - paid cash for supplies, P7,250
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