Problem #12 Journalizing, Posting and Preparing a Trial Balance Winnie Villanueva is a painting contractor. During the month of April, she completed the following transactions: Invested in the business painting equipment valued at P12,300 and placed P71,000 in a business checking account. Acquired a service vehicle costing P80,000. Paid P50,000 cash and signed a note for the balance. Purchased painting supplies on account for P3,200. Completed a painting job and billed the customer P4,800. Received P1,500 cash for painting an apartment room. Purchased painting supplies for P1,600 cash. Received a P4,800 check from the customer billed on April 5. Paid P4,000 for an insurance policy for a one-year covérage. Apr. 2 5. 10 11 12 12 Billed a tomer P6 200 for a nainting joh 3. 4579

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Chapter1: Financial Statements And Business Decisions
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A Sushi Kiosk in the Philippines

  1. PESTLE (Political, Economic, Sociocultural, Technological, Legal,   Environmental) analysis 
  2. Identify only areas/forces with direct and significant impact on the  company 
  3.  

    Startup costs (one-time payment)

    Business registration 

    5,915.00

     

    Other legal certification  requirements 

    500.00

     

    Other expenses: 

    technology /equipment  needed for production 

       

    Total startup cost 

     

    xxx

    Operating costs (good for 1 year, base this on your 

    monthly OC and just multiply it by 12)

    Rental 

       

    Utilities 

       

    Raw  

    materials

       

    Others: 

    marketing  

    activities 

       

    Total operating cost

     

    xxx

    Total Funding Requirement 

     

    xxx

  4. Sources of Funds (minimum of 7 sentences)
  5. Competitor Analysis (minimum of 7 sentences)

Note: Location is Philippines Davao. The currency should be the philippine peso

Supplementary materials for the Performance Task: ( On or before the 2nd Mid-term Examination)
Recording Transactions using special Journals
Sample Problem: Recording Transactions in the Special Journals
Problem #12
Journalizing, Posting and Preparing a Trial Balance
Winnie Villanueva is a painting contractor. During the month of April, she completed
the following transactions:
Invested in the business painting equipment valued at P12,300 and
placed P71,000 in a business checking account.
Acquired a service vehicle costing P80,000. Paid P50,000 cash and
signed a note for the balance.
Purchased painting supplies on account for P3,200.
Completed a painting job and billed the customer P4,800.
Received P1,500 cash for painting an apartment room.
Purchased painting supplies for P1,600 cash.
Received a P4,800 check from the customer billed on April 5.
Paid P4,000 for an insurance policy for a one-year covérage.
Billed a customer P6,200 for a painting job.
Paid the assistant P1,500 for twenty-five hours' work.
Paid P400 for a tune-up of the service vehicle.
Paid for the painting supplies purchased on April 4.
Purchased a new ladder for P6,000 and painting supplies for P2,900,
on account.
Received a telephone bill for P600, due next month.
Received P3,300 in cash from the customer billed on April 13.
Transferred P3,000 to a personal checking account.
Received P3,600 in cash for painting a two-room apartment.
Paid P2,000 on the note signed for the service vehicle.
Paid the assistant P1,800 for thirty hours' work.
Apr. 2
4
10
11
12
13
14
15
18
20
22
23
24
25
27
29
Required:
1. Prepare the journal entries to record the April transactions.
2. Set-up the following ledger accounts and post all the journal entries: Cash;
Accounts Receivable; Painting Supplies; Prepaid Insurance; Painting Equipment;
Service Vehicle; Notes Payable; Accounts Payable; Villanueva, Capital; Villanueva,
Withdrawals; Painting Revenues; Wages Expense; Utilities Expense; and
Maintenance Expense.
3. Prepare a trial balance.
Note: Instead of Recording the transactions in the general journal, attached solutions is journalizing
using the special journals. (See separate file in excel format)
Transcribed Image Text:Supplementary materials for the Performance Task: ( On or before the 2nd Mid-term Examination) Recording Transactions using special Journals Sample Problem: Recording Transactions in the Special Journals Problem #12 Journalizing, Posting and Preparing a Trial Balance Winnie Villanueva is a painting contractor. During the month of April, she completed the following transactions: Invested in the business painting equipment valued at P12,300 and placed P71,000 in a business checking account. Acquired a service vehicle costing P80,000. Paid P50,000 cash and signed a note for the balance. Purchased painting supplies on account for P3,200. Completed a painting job and billed the customer P4,800. Received P1,500 cash for painting an apartment room. Purchased painting supplies for P1,600 cash. Received a P4,800 check from the customer billed on April 5. Paid P4,000 for an insurance policy for a one-year covérage. Billed a customer P6,200 for a painting job. Paid the assistant P1,500 for twenty-five hours' work. Paid P400 for a tune-up of the service vehicle. Paid for the painting supplies purchased on April 4. Purchased a new ladder for P6,000 and painting supplies for P2,900, on account. Received a telephone bill for P600, due next month. Received P3,300 in cash from the customer billed on April 13. Transferred P3,000 to a personal checking account. Received P3,600 in cash for painting a two-room apartment. Paid P2,000 on the note signed for the service vehicle. Paid the assistant P1,800 for thirty hours' work. Apr. 2 4 10 11 12 13 14 15 18 20 22 23 24 25 27 29 Required: 1. Prepare the journal entries to record the April transactions. 2. Set-up the following ledger accounts and post all the journal entries: Cash; Accounts Receivable; Painting Supplies; Prepaid Insurance; Painting Equipment; Service Vehicle; Notes Payable; Accounts Payable; Villanueva, Capital; Villanueva, Withdrawals; Painting Revenues; Wages Expense; Utilities Expense; and Maintenance Expense. 3. Prepare a trial balance. Note: Instead of Recording the transactions in the general journal, attached solutions is journalizing using the special journals. (See separate file in excel format)
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