Journalize transactions, posI, and prepare a trial balance. (LO 5, 6, 7, 8), AP P3-6B The trial balance of American Dry Cleaners on June 30 is given here. AMERICAN DRY CLEANERS Trial Balance June 30, 2014 GLS Debit Credit $15,532 10,536 3,592 25,950 Cash Accounts Receivable Supplies Equipment Accounts Payable Unearned Service Revenue Common Stock Retained Earnings $15,800 1,810 25,000 13,000 $55,610 $55,610 mapter 3 The Accounting Information System The July transactions were as follows. July 8 Received $10,189 in cash on June 30 accounts receivable. 9. Paid employee salaries $2,100. 11 Received $7,320 in cash for services performed. Paid creditors $4,810 of accounts payable. Purchased supplies on account $720. 22 Billed customers for services performed $4,700. 30 14 17 Paid employee salaries $3,114, utilities $1,767, and repairs $386. 31 Paid $400 cash dividend. Instructions (a) Prepare a general ledger using T-accounts. Enter the opening balances in the ledger accounts as of July 1. Provision should be made for the following additional accounts: Dividends, Service Revenue, Maintenance and Repairs Expense, Salaries and Wages Expense, and Utilities Expense. (b) Journalize the transactions, including explanations. (c) Post to the ledger accounts. (d) Prenu $20.464 $83.540 ance

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Chapter1: Financial Statements And Business Decisions
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Journalize transactions, post,
and prepare a trial balance.
(LO 5, 6, 7, 8), AP
P3-6B The trial balance of American Dry Cleaners on June 30 is given here.
AMERICAN DRY CLEANERS
Trial Balance
June 30, 2014
GLS
Debit
Credit
Cash
Accounts Receivable
Supplies
Equipment
Accounts Payable
Unearned Service Revenue
$15,532
10,536
3,592
25,950
$15,800
1,810
25,000
13,000
Common Stock
Retained Earnings
$55,610
$55,610
chapter 3 The Accounting Information System
The July transactions were as follows.
July 8
Received $10,189 in cash on June 30 accounts receivable.
Paid employee salaries $2,100.
11
9.
Received $7,320 in cash for services performed.
Paid creditors $4,810 of accounts payable.
Purchased supplies on account $720.
22
14
17
Billed customers for services performed $4,700.
Paid employee salaries $3,114, utilities $1,767, and repairs $386.
31
30
Paid $400 cash dividend.
Instructions
(a) Prepare a general ledger using T-accounts. Enter the opening balances in the ledger
accounts as of July 1. Provision should be made for the following additional accounts:
Dividends, Service Revenue, Maintenance and Repairs Expense, Salaries and Wages
Expense, and Utilities Expense.
(b) Journalize the transactions, including explanations.
(c) Post to the ledger accounts.
(d) Prepare a trial balance on July 31, 2014.
$20,464
$63.540
balance
D2. 7D
This trielL
Transcribed Image Text:Journalize transactions, post, and prepare a trial balance. (LO 5, 6, 7, 8), AP P3-6B The trial balance of American Dry Cleaners on June 30 is given here. AMERICAN DRY CLEANERS Trial Balance June 30, 2014 GLS Debit Credit Cash Accounts Receivable Supplies Equipment Accounts Payable Unearned Service Revenue $15,532 10,536 3,592 25,950 $15,800 1,810 25,000 13,000 Common Stock Retained Earnings $55,610 $55,610 chapter 3 The Accounting Information System The July transactions were as follows. July 8 Received $10,189 in cash on June 30 accounts receivable. Paid employee salaries $2,100. 11 9. Received $7,320 in cash for services performed. Paid creditors $4,810 of accounts payable. Purchased supplies on account $720. 22 14 17 Billed customers for services performed $4,700. Paid employee salaries $3,114, utilities $1,767, and repairs $386. 31 30 Paid $400 cash dividend. Instructions (a) Prepare a general ledger using T-accounts. Enter the opening balances in the ledger accounts as of July 1. Provision should be made for the following additional accounts: Dividends, Service Revenue, Maintenance and Repairs Expense, Salaries and Wages Expense, and Utilities Expense. (b) Journalize the transactions, including explanations. (c) Post to the ledger accounts. (d) Prepare a trial balance on July 31, 2014. $20,464 $63.540 balance D2. 7D This trielL
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