Problem #10 Journalizing, Posting and Preparing a Trial Balance Leonila Generales won a concession to rent out bicycles in the Quezon Circle during the summer. During the month of April, Generales completed the following transactions for her bicycle rental business: Apr. 2 Began business by placing P120,000 in a business checking account. 3 Purchased supplies on account for P 1,500. 4 Purchased ten bicycles for P25,000, paying P12,000 down and agreed to pay the balance in thirty days. 5 Paid P29,000 in cash for a furnished container to store the bicycles and use for other operations. 6 Received P4,700 in cash for rentals during the first week of operation. 8 Paid P4,000 in cash for shipping and installation costs (considered an addition to the cost of the container) to place the container at the park entrance. 9 Hired a part-time assistant to help on weekends. 10 Paid a maintenance person P750 to clean the grounds. 13 Received P5,000 in cash for rentals during the second week of operation. 16 Paid the assistant P480 for a weekend's work. 17 Paid for the supplies purchased on April 3. 18 Paid a P550 repair bill on bicycles. 20 Received P5,500 in cash for rentals during the third week of operation. 22 Paid the assistant P480 for a weekend's work. 23 Billed an entity P1,100 for bicycle rentals for employees' outing. 25 Paid the P3,000 fee for April to the Park Administration for the right to the bicycle concession. 27 Received P4,100 in cash for rentals during the week. 29 Paid the assistant P480 for a weekend's work. 30 Transferred P5,000 to personal checking account. Required: 1. Prepare the journal entries for the April transactions. 2. Set up the following ledger accounts and post all the journal entries: Cash; Accounts Receivable; Supplies; Container; Bicycles; Accounts Payable; Generales, Capital; Generales, Withdrawals; Rental Revenues; Wages Expense; Maintenance Expense; Repair Expense; and Concession Fee Expense. 3. Prepare a trial balance.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
icon
Related questions
Question
100%

Problem #10
Journalizing, Posting and Preparing a Trial Balance

Leonila Generales won a concession to rent out bicycles in the Quezon Circle during
the summer. During the month of April, Generales completed the following transactions
for her bicycle rental business:

Apr. 2 Began business by placing P120,000 in a business checking account.
3 Purchased supplies on account for P 1,500.
4 Purchased ten bicycles for P25,000, paying P12,000 down and agreed to
pay the balance in thirty days.
5 Paid P29,000 in cash for a furnished container to store the bicycles and
use for other operations.
6 Received P4,700 in cash for rentals during the first week of operation.
8 Paid P4,000 in cash for shipping and installation costs (considered an
addition to the cost of the container) to place the container at the park
entrance.
9 Hired a part-time assistant to help on weekends.
10 Paid a maintenance person P750 to clean the grounds.
13 Received P5,000 in cash for rentals during the second week of operation.
16 Paid the assistant P480 for a weekend's work.
17 Paid for the supplies purchased on April 3.
18 Paid a P550 repair bill on bicycles.
20 Received P5,500 in cash for rentals during the third week of operation.
22 Paid the assistant P480 for a weekend's work.
23 Billed an entity P1,100 for bicycle rentals for employees' outing.
25 Paid the P3,000 fee for April to the Park Administration for the right to the
bicycle concession.
27 Received P4,100 in cash for rentals during the week.
29 Paid the assistant P480 for a weekend's work.
30 Transferred P5,000 to personal checking account.
Required:
1. Prepare the journal entries for the April transactions.
2. Set up the following ledger accounts and post all the journal entries: Cash; Accounts
Receivable; Supplies; Container; Bicycles; Accounts Payable; Generales, Capital;
Generales, Withdrawals; Rental Revenues; Wages Expense; Maintenance Expense;
Repair Expense; and Concession Fee Expense.
3. Prepare a trial balance.

Expert Solution
trending now

Trending now

This is a popular solution!

steps

Step by step

Solved in 2 steps with 7 images

Blurred answer
Knowledge Booster
Personal Financial Statements
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Similar questions
Recommended textbooks for you
FINANCIAL ACCOUNTING
FINANCIAL ACCOUNTING
Accounting
ISBN:
9781259964947
Author:
Libby
Publisher:
MCG
Accounting
Accounting
Accounting
ISBN:
9781337272094
Author:
WARREN, Carl S., Reeve, James M., Duchac, Jonathan E.
Publisher:
Cengage Learning,
Accounting Information Systems
Accounting Information Systems
Accounting
ISBN:
9781337619202
Author:
Hall, James A.
Publisher:
Cengage Learning,
Horngren's Cost Accounting: A Managerial Emphasis…
Horngren's Cost Accounting: A Managerial Emphasis…
Accounting
ISBN:
9780134475585
Author:
Srikant M. Datar, Madhav V. Rajan
Publisher:
PEARSON
Intermediate Accounting
Intermediate Accounting
Accounting
ISBN:
9781259722660
Author:
J. David Spiceland, Mark W. Nelson, Wayne M Thomas
Publisher:
McGraw-Hill Education
Financial and Managerial Accounting
Financial and Managerial Accounting
Accounting
ISBN:
9781259726705
Author:
John J Wild, Ken W. Shaw, Barbara Chiappetta Fundamental Accounting Principles
Publisher:
McGraw-Hill Education