Nov. 30. Paid creditor a portiom of the amount owed for equipment purchased on November o. 52.125. 30. Withcdrew cash for personal use. S1.400. Instructions 1. Journalize cach transaction in a rwo-column journal. referring to the following chart of accounts in selecting the accounts to he debited and credited. (Do not insen the account nunmbers in the journal at this time.) Explanations may be omitted. 31 Nicki Good, Capital 42 Nicki Good. Drawing 41 Fees Earned 51 Wages Expense 53 Rent Expense 51 Utilities Expense 55 Truck Expense 59 Miscellaneous Expense 11 Cash 12 Accounts Receivable 13 Supplies 14 Prepaid Insurance 16 Equipment 18 Truck 21 Notes Payalble 22 Accounts Payable 2. Post the journal to a ledger of four-column accounts, inserting appropriate post- ing references as each item is posted. Extend the balances to the appropriate bal- ance columns after each transaction is posted. 3. Prepare a trial balance for Darling Designs as of November 30, 2006.

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ISBN:9781259964947
Author:Libby
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Chapter1: Financial Statements And Business Decisions
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I want journal entries, ledger and trial balance of the given question. Please reply me as soon as possible. 

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Chapter 2• Analyzing Transactions
93
Nov. 30. Paid crditor a portion of the amount owed for equipment purchased on
November o. $2.125.
30. Withelrew cash for person.al use. S1.400.
Instructions
1. Journalize each transaction in a two-column journal. referring to the following chan
of accounts in selecting the accounts to he debited and credited. (Do not insen
the account numbers in the journal at this time.) Explanations may be omitted.
31 Nicki Good, Capital
42 Nicki Good. Drawing
41 Fees Earned
51 Wages Expense
53 Rent Expense
51 L'tilities Expense
55 Truck Expense
59 Miscellaneous Expense
11 Cash
12 Accounts Receivable
13 Supplies
14 Prepaid Insurance
16 Equipment
18 Truck
21 Notes Payalble
22 Accounts Payable
2. Post the journal to a ledger of four-column accounts, inserting appropriate post-
ing references as each item is posted. Extend the balances to the appropriate bal-
ance columns after each transaction is posted.
3. Prepare a trial balance for Darling Designs as of November 30, 2006.
Transcribed Image Text:Chapter 2• Analyzing Transactions 93 Nov. 30. Paid crditor a portion of the amount owed for equipment purchased on November o. $2.125. 30. Withelrew cash for person.al use. S1.400. Instructions 1. Journalize each transaction in a two-column journal. referring to the following chan of accounts in selecting the accounts to he debited and credited. (Do not insen the account numbers in the journal at this time.) Explanations may be omitted. 31 Nicki Good, Capital 42 Nicki Good. Drawing 41 Fees Earned 51 Wages Expense 53 Rent Expense 51 L'tilities Expense 55 Truck Expense 59 Miscellaneous Expense 11 Cash 12 Accounts Receivable 13 Supplies 14 Prepaid Insurance 16 Equipment 18 Truck 21 Notes Payalble 22 Accounts Payable 2. Post the journal to a ledger of four-column accounts, inserting appropriate post- ing references as each item is posted. Extend the balances to the appropriate bal- ance columns after each transaction is posted. 3. Prepare a trial balance for Darling Designs as of November 30, 2006.
9h November 2. 2006, Nicki Good established an interior decorating busines
Darling Designs. During the remainder of the month. Nicki completed the follon
ing transactions related to the business:
rial
Nov. 2. Nicki transferred cash from a personal bank account to an account to be
Lused for the business. $15.000.
5. Paid rent for period of November 5 to end of month. S1.-50.
6. Purchased office equipment on account. S8.500.
8. Purchased a used trick for $18.000, paying $5.000 cash and giving a note
pavable for the remainder.
10. Purchased supplies for cash. $1.115.
12. Received cash for job completed. S.500.
15. Paid annual premiums on property and casualty insurance. $1.400,
23. Recorded johs completed on account and sent invoices to custemers, $3,951
24. Receivecl an invoice for truck expenses, to he paid in December, So00.
29. Paid utilities expense. $"50,
29. Pail miscellaneous expenses. $310.
30. Received cash from customers on account, $2.200
31, Paici wages f emplovees. $20,
Column:
Transcribed Image Text:9h November 2. 2006, Nicki Good established an interior decorating busines Darling Designs. During the remainder of the month. Nicki completed the follon ing transactions related to the business: rial Nov. 2. Nicki transferred cash from a personal bank account to an account to be Lused for the business. $15.000. 5. Paid rent for period of November 5 to end of month. S1.-50. 6. Purchased office equipment on account. S8.500. 8. Purchased a used trick for $18.000, paying $5.000 cash and giving a note pavable for the remainder. 10. Purchased supplies for cash. $1.115. 12. Received cash for job completed. S.500. 15. Paid annual premiums on property and casualty insurance. $1.400, 23. Recorded johs completed on account and sent invoices to custemers, $3,951 24. Receivecl an invoice for truck expenses, to he paid in December, So00. 29. Paid utilities expense. $"50, 29. Pail miscellaneous expenses. $310. 30. Received cash from customers on account, $2.200 31, Paici wages f emplovees. $20, Column:
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