On May 1, B. Bangle opened Self-Wash Laundry. His accountant listed the following chart of accounts: Cash B. Bangle, Drawing Supplies Laundry Revenue Prepaid Insurance Wages Expense Equipment Rent Expense Furniture and Fixtures Utilities Expense Accounts Payable Miscellaneous Expense B. Bangle, Capital   The following transactions were completed during May: Bangle deposited $35,000 in a bank account in the name of the business. Bought chairs and tables (Furniture and Fixtures), paying cash, $1,870, Ck. No. 1000. Bought supplies on account from Barnes Supply Company, $225. Paid the rent for the current month, $875, Ck. No. 1001. Bought washing machines and dryers (Equipment) from Lara Equipment Company, $12,500, paying $3,600 in cash and placing the balance on account, Ck. No. 1002. Sold services for cash for the first half of the month, $1,925. Bought insurance for one year, $1,560, Ck. No. 1003. Paid on account to Lara Equipment Company, $1,800, Ck. No. 1004. Received and paid electric bill, $285, Ck. No. 1005. Sold services for cash for the second half of the month, $1,835. Paid wages to an employee, $940, Ck. No. 1006. Bangle withdrew cash for his personal use, $800, Ck. No. 1007. Paid on account to Barnes Supply Company, $225, Ck. No. 1008. Received and paid bill from the county for sidewalk repair assessment, $280, Ck. No. 1009 (Miscellaneous Expense). Required: Correctly place the plus and minus signs for each T account and label the debit and credit sides of the accounts. Record the transactions in the T accounts. Record the amounts in the order given (letters 'a' through 'n'). Foot the T accounts and show the balances. Cash +  -  Debit Credit                                                                                         Bal.         Accounts Payable -  +  Debit Credit                             Bal.   Supplies +  -  Debit Credit         Bal.         B. Bangle, Capital -  +  Debit Credit             Bal.   Prepaid Insurance +  -  Debit Credit         Bal.         B. Bangle, Drawing +  -  Debit Credit         Bal.       Equipment +  -  Debit Credit         Bal.         Laundry Revenue -  +  Debit Credit                     Bal.   Furniture and Fixtures +  -  Debit Credit         Bal.         Wages Expense +  -  Debit Credit         Bal.                 Rent Expense +  -  Debit Credit         Bal.                 Utilities Expense +  -  Debit Credit         Bal.                 Miscellaneous Expense +  -  Debit Credit         Bal.

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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On May 1, B. Bangle opened Self-Wash Laundry. His accountant listed the following chart of accounts:

Cash B. Bangle, Drawing
Supplies Laundry Revenue
Prepaid Insurance Wages Expense
Equipment Rent Expense
Furniture and Fixtures Utilities Expense
Accounts Payable Miscellaneous Expense
B. Bangle, Capital  

The following transactions were completed during May:

  1. Bangle deposited $35,000 in a bank account in the name of the business.
  2. Bought chairs and tables (Furniture and Fixtures), paying cash, $1,870, Ck. No. 1000.
  3. Bought supplies on account from Barnes Supply Company, $225.
  4. Paid the rent for the current month, $875, Ck. No. 1001.
  5. Bought washing machines and dryers (Equipment) from Lara Equipment Company, $12,500, paying $3,600 in cash and placing the balance on account, Ck. No. 1002.
  6. Sold services for cash for the first half of the month, $1,925.
  7. Bought insurance for one year, $1,560, Ck. No. 1003.
  8. Paid on account to Lara Equipment Company, $1,800, Ck. No. 1004.
  9. Received and paid electric bill, $285, Ck. No. 1005.
  10. Sold services for cash for the second half of the month, $1,835.
  11. Paid wages to an employee, $940, Ck. No. 1006.
  12. Bangle withdrew cash for his personal use, $800, Ck. No. 1007.
  13. Paid on account to Barnes Supply Company, $225, Ck. No. 1008.
  14. Received and paid bill from the county for sidewalk repair assessment, $280, Ck. No. 1009 (Miscellaneous Expense).

Required:

  1. Correctly place the plus and minus signs for each T account and label the debit and credit sides of the accounts.
  2. Record the transactions in the T accounts. Record the amounts in the order given (letters 'a' through 'n').
  3. Foot the T accounts and show the balances.

Cash
Debit Credit
       
       
       
       
       
       
       
       
       
       
       
Bal.      
 
Accounts Payable
Debit Credit
       
       
       
    Bal.  

Supplies
Debit Credit
       
Bal.      
 
B. Bangle, Capital
Debit Credit
       
    Bal.  

Prepaid Insurance
Debit Credit
       
Bal.      
 
B. Bangle, Drawing
Debit Credit
       
Bal.      

Equipment
Debit Credit
       
Bal.      
 
Laundry Revenue
Debit Credit
       
       
    Bal.  
Furniture and Fixtures
Debit Credit
       
Bal.      
 
Wages Expense
Debit Credit
       
Bal.      
       
 
Rent Expense
Debit Credit
       
Bal.      
       
 
Utilities Expense
Debit Credit
       
Bal.      
       
 
Miscellaneous Expense
Debit Credit
       
Bal.      
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