The adjusted trial balance of Karise Repairs on December 31 follows. Adjusted Trial Balance December 31 No. Account Title Debit Credit 101 Cash . $ 14,000 124 Office supplies . 1,300 128 Prepaid insurance 2,050 167 Equipment.... 50,000 $ 5,000 Accumulated depreciation-Equipment . Accounts payable... 168 201 14,000 210 Wages payable.. C. Karise, Capital . C. Karise, Withdrawals. Repair fees earned.. 600 301 33,000 302 16,000 401 90,950 612 Depreciation expense-Equipment. 5,000 623 Wages expense 37,500 637 Insurance expense. 800 Rent expense .. Office supplies expense. 640 10,600 650 3,600 690 Utilities expense. 2,700 Totals... $143,550 $143,550

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. Prepare an income statement and a statement of owner’s equity for the year and a classified balance sheet
at December 31. Note: The C. Karise, Capital account balance was $33,000 on December 31 of the prior
year.
2. Enter the adjusted trial balance in the first two columns of a six-column table. Use columns three and
four for closing entry information and the last two columns for a post-closing trial balance. Insert an
Income Summary account as the last item in the trial balance.
3. Enter closing entry information in the six-column table and prepare journal entries for it. 

The adjusted trial balance of Karise Repairs on December 31 follows.
Adjusted Trial Balance
December 31
No.
Account Title
Debit
Credit
101
Cash .
$ 14,000
124
Office supplies .
1,300
128
Prepaid insurance
2,050
167
Equipment....
50,000
$ 5,000
Accumulated depreciation-Equipment .
Accounts payable...
168
201
14,000
210
Wages payable..
C. Karise, Capital .
C. Karise, Withdrawals.
Repair fees earned..
600
301
33,000
302
16,000
401
90,950
612
Depreciation expense-Equipment.
5,000
623
Wages expense
37,500
637
Insurance expense.
800
Rent expense ..
Office supplies expense.
640
10,600
650
3,600
690
Utilities expense.
2,700
Totals...
$143,550
$143,550
Transcribed Image Text:The adjusted trial balance of Karise Repairs on December 31 follows. Adjusted Trial Balance December 31 No. Account Title Debit Credit 101 Cash . $ 14,000 124 Office supplies . 1,300 128 Prepaid insurance 2,050 167 Equipment.... 50,000 $ 5,000 Accumulated depreciation-Equipment . Accounts payable... 168 201 14,000 210 Wages payable.. C. Karise, Capital . C. Karise, Withdrawals. Repair fees earned.. 600 301 33,000 302 16,000 401 90,950 612 Depreciation expense-Equipment. 5,000 623 Wages expense 37,500 637 Insurance expense. 800 Rent expense .. Office supplies expense. 640 10,600 650 3,600 690 Utilities expense. 2,700 Totals... $143,550 $143,550
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