Reliable Repairs & Service, an electronics repair store, prepared the following unadjusted trial balance on November 30, 20Y3:   Reliable Repairs & Service UNADJUSTED TRIAL BALANCE November 30, 20Y3     ACCOUNT TITLE DEBIT CREDIT 1 Cash 25,350.00   2 Accounts Receivable 67,500.00   3 Supplies 16,200.00   4 Equipment 181,100.00   5 Accounts Payable   25,750.00 6 Unearned Fees   18,000.00 7 Common Stock   75,000.00 8 Retained Earnings   111,500.00 9 Dividends 13,500.00   10 Fees Earned   369,750.00 11 Wages Expense 144,500.00   12 Rent Expense 92,000.00   13 Utilities Expense 51,750.00   14 Miscellaneous Expense 8,100.00   15 Totals 600,000.00 600,000.00       For preparing the adjusting entries, the following data were assembled: • Fees earned but unbilled on November 30 were $10,500. • Supplies on hand on November 30 were $1,175. • Depreciation of equipment was estimated to be $9,500 for the year. • The balance in unearned fees represented the November 1 receipt in advance for services to be provided. During November, $16,800 of the services were provided. • Unpaid wages accrued on November 30 were $2,400.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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Reliable Repairs & Service, an electronics repair store, prepared the following unadjusted trial balance on November 30, 20Y3:
 
Reliable Repairs & Service
UNADJUSTED TRIAL BALANCE
November 30, 20Y3
 
  ACCOUNT TITLE DEBIT CREDIT
1
Cash
25,350.00
 
2
Accounts Receivable
67,500.00
 
3
Supplies
16,200.00
 
4
Equipment
181,100.00
 
5
Accounts Payable
 
25,750.00
6
Unearned Fees
 
18,000.00
7
Common Stock
 
75,000.00
8
Retained Earnings
 
111,500.00
9
Dividends
13,500.00
 
10
Fees Earned
 
369,750.00
11
Wages Expense
144,500.00
 
12
Rent Expense
92,000.00
 
13
Utilities Expense
51,750.00
 
14
Miscellaneous Expense
8,100.00
 
15
Totals
600,000.00
600,000.00
 
 
 
For preparing the adjusting entries, the following data were assembled:
Fees earned but unbilled on November 30 were $10,500.
Supplies on hand on November 30 were $1,175.
Depreciation of equipment was estimated to be $9,500 for the year.
The balance in unearned fees represented the November 1 receipt in advance for services to be provided. During November, $16,800 of the services were provided.
Unpaid wages accrued on November 30 were $2,400.
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