The account balances of Miss Beverly's Tutoring Service as of June 30, the end of the current fiscal year, are as follows: Cash Accounts Receivable Supplies Prepaid Insurance ACCOUNT NAME Equipment Accumulated Depreciation, Equipment Van Accumulated Depreciation, Van Accounts Payable B. Morrow, Capital B. Morrow, Drawing Fees Earned Salaries Expense Advertising Expense Van Operating Expense Utilities Expense Miscellaneous Expense Required: 1. Data for the adjustments are as follows: a. Expired or used up insurance, $470. b. Depreciation expense on equipment, $948. c. Depreciation expense on the van, $1,490. TRIAL BALANCE DEBIT ACCOUNT NAME 6,491.00 624.00 527.00 1,280.00 5,497.00 13,674.00 18,000.00 16,000.00 2,200.00 705.00 1,248.00 CREDIT 2,472.00 4,168.00 1,436.00 14,848.00 43,680.00 358.00 66,604.00 66,604.00 d. Salary accrued (earned) since the last payday, $574 (owed and to be paid on the next payday). Supplies remaining as of June 30, $407. Complete the work sheet. If no amount is required, leave the entry box blank. TRIAL BALANCE DEBIT CREDIT Miss Beverly's Tutoring Service Work Sheet For Year Ended June 30, 20- ADJUSTMENTS DEBIT CREDIT ADJUSTED TRIAL BALANCE DEBIT CREDIT INCOME STATEMENT DEBIT CREDIT BALANCE SHEET DEBIT CREDIT

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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1 Cash
2 Accounts Receivable
3 Supplies
4 Prepaid Insurance
5 Equipment
6 Accum. Depr., Equipment
7
ACCOUNT NAME
8 Accumulated Depreciation, Van
9 Accounts Payable
10 B. Morrow, Capital
11 B. Morrow, Drawing
12 Fees Earned
18
Van
13 Salaries Expense
14 Advertising Expense
15 Van Operating Expense
16 Utilities Expense
17 Miscellaneous Expense
19 Insurance Expense
20 Depr. Exp., Equipment
21 Depreciation Expense, Van
22 Salaries Payable
23 Supplies Expense
24
26
25 Net Income
DATE
20--
2. Journalize the adjusting entries. Journalize the adjustments in the order given in the question.
GENERAL JOURNAL
Jun. 30
Jun. 30
DESCRIPTION
Adjusting Entries
TRIAL BALANCE
POST. REF.
DEBIT
CREDIT
DEBIT
ADJUSTMENTS
DEBIT
PAGE
CREDIT
CREDIT
ADJUSTED TRIAL BALANCE
DEBIT
CREDIT
INCOME STATEMENT
DEBIT
CREDIT
BALANCE SHEET
DEBIT
CREDIT
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
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17
18
19
20
21
22
23
24
25
25
Transcribed Image Text:1 Cash 2 Accounts Receivable 3 Supplies 4 Prepaid Insurance 5 Equipment 6 Accum. Depr., Equipment 7 ACCOUNT NAME 8 Accumulated Depreciation, Van 9 Accounts Payable 10 B. Morrow, Capital 11 B. Morrow, Drawing 12 Fees Earned 18 Van 13 Salaries Expense 14 Advertising Expense 15 Van Operating Expense 16 Utilities Expense 17 Miscellaneous Expense 19 Insurance Expense 20 Depr. Exp., Equipment 21 Depreciation Expense, Van 22 Salaries Payable 23 Supplies Expense 24 26 25 Net Income DATE 20-- 2. Journalize the adjusting entries. Journalize the adjustments in the order given in the question. GENERAL JOURNAL Jun. 30 Jun. 30 DESCRIPTION Adjusting Entries TRIAL BALANCE POST. REF. DEBIT CREDIT DEBIT ADJUSTMENTS DEBIT PAGE CREDIT CREDIT ADJUSTED TRIAL BALANCE DEBIT CREDIT INCOME STATEMENT DEBIT CREDIT BALANCE SHEET DEBIT CREDIT 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 25
The account balances of Miss Beverly's Tutoring Service as of June 30, the end of the current fiscal year, are as follows:
Cash
ACCOUNT NAME
Accounts Receivable
Supplies
Prepaid Insurance
Equipment
Accumulated Depreciation, Equipment
Van
Accumulated Depreciation, Van
Accounts Payable
B. Morrow, Capital
B. Morrow, Drawing
Fees Earned
Salaries Expense
Advertising Expense
Van Operating Expense
Utilities Expense
Miscellaneous Expense
Required:
1. Data for the adjustments are as follows:
TRIAL BALANCE
DEBIT
ACCOUNT NAME
6,491.00
624.00
527.00
1,280.00
5,497.00
13,674.00
18,000.00
16,000.00
2,200.00
705.00
1,248.00
358.00
CREDIT
2,472.00
4,168.00
1,436.00
14,848.00
43,680.00
66,604.00 66,604.00
a. Expired or used up insurance, $470.
b. Depreciation expense on equipment, $948.
c. Depreciation expense on the van, $1,490.
d. Salary accrued (earned) since the last payday, $574 (owed and to be paid on the next payday).
e. Supplies remaining as of June 30, $407.
Complete the work sheet. If no amount is required, leave the entry box blank.
TRIAL BALANCE
DEBIT
CREDIT
Miss Beverly's Tutoring Service
Work Sheet
For Year Ended June 30, 20-
ADJUSTMENTS
DEBIT
CREDIT
ADJUSTED TRIAL BALANCE
DEBIT
CREDIT
INCOME STATEMENT
DEBIT
CREDIT
BALANCE SHEET
DEBIT
CREDIT
Transcribed Image Text:The account balances of Miss Beverly's Tutoring Service as of June 30, the end of the current fiscal year, are as follows: Cash ACCOUNT NAME Accounts Receivable Supplies Prepaid Insurance Equipment Accumulated Depreciation, Equipment Van Accumulated Depreciation, Van Accounts Payable B. Morrow, Capital B. Morrow, Drawing Fees Earned Salaries Expense Advertising Expense Van Operating Expense Utilities Expense Miscellaneous Expense Required: 1. Data for the adjustments are as follows: TRIAL BALANCE DEBIT ACCOUNT NAME 6,491.00 624.00 527.00 1,280.00 5,497.00 13,674.00 18,000.00 16,000.00 2,200.00 705.00 1,248.00 358.00 CREDIT 2,472.00 4,168.00 1,436.00 14,848.00 43,680.00 66,604.00 66,604.00 a. Expired or used up insurance, $470. b. Depreciation expense on equipment, $948. c. Depreciation expense on the van, $1,490. d. Salary accrued (earned) since the last payday, $574 (owed and to be paid on the next payday). e. Supplies remaining as of June 30, $407. Complete the work sheet. If no amount is required, leave the entry box blank. TRIAL BALANCE DEBIT CREDIT Miss Beverly's Tutoring Service Work Sheet For Year Ended June 30, 20- ADJUSTMENTS DEBIT CREDIT ADJUSTED TRIAL BALANCE DEBIT CREDIT INCOME STATEMENT DEBIT CREDIT BALANCE SHEET DEBIT CREDIT
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