Transactions and T Accounts The following selected transactions were completed during October of the current year: 1. Billed customers for fees earned, $48,020. 2. Purchased supplies on account, $2,060. 3. Received cash from customers on account, $45,140. 4. Paid creditors on account, $1,250. a. Journalize these transactions in a two-column journal, using the appropriate number to identify the transactions. Journal entry explanations may be omitted. If an amount box does not require an entry, leave it blank. Transaction (1) (2) (3) (4) Account Fees Earned Y ▾ Debit 00 Credit 48,020 b. Post the entries prepared in (a) to the following T accounts: Cash, Supplies, Accounts Receivable, Accounts Payable, Fees Earned. To the left of each amount posted in the

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Chapter11: The Billing/accounts Receivable/cash receipts (b/ar/cr) Process
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Apps x G is land an X
Cengage X b Home |bx
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b. Post the entries prepared in (a) to the following T accounts: Cash, Supplies, Accounts Receivable, Accounts Payable, Fees Earned. To the left of each amount posted in the
accounts, select the appropriate number to identify the transaction.
Accounts Receivable
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Week 2 A X
Week 2 A X G What is X G American x +
c. Assume that the unadjusted trial balance on October 31 shows a credit balance for Accounts Receivable. Does this credit balance mean an error has occurred?
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Transcribed Image Text:Apps x G is land an X Cengage X b Home |bx takeAssignment/takeAssignmentMain.do?invoker=&takeAssignmentSessionLocator=&inprogress=false Products, Services,... 9k+ Dashboard. Nutshell v USAA 。바 Cash USAA/Welcome to... GConcur Solutions S Office 365 SharePoi... Accounts Payable Supplies Fees Earned The Yale X b. Post the entries prepared in (a) to the following T accounts: Cash, Supplies, Accounts Receivable, Accounts Payable, Fees Earned. To the left of each amount posted in the accounts, select the appropriate number to identify the transaction. Accounts Receivable Check My Work 2 more Check My Work uses remaining. Week 2 A X Week 2 A X G What is X G American x + c. Assume that the unadjusted trial balance on October 31 shows a credit balance for Accounts Receivable. Does this credit balance mean an error has occurred? All work saved. S Check-6 Home Pag... O Mail-dgilkey@aev... W Previous GE >>> Rain... Next Save and Exit Submit Assignment for Gr 9
OS
x G is land an Xx
Products, Services,...
Transactions and T Accounts
keAssignment/takeAssignmentMain.do?invoker=&takeAssignmentSession Locator=&inprogress=false
9k+ Dashboard Nutshell USAA / Welcome to... C Concur Solutions
(1)
Cengagel X
(2)
(3)
(4)
1
The following selected transactions were completed during October of the current year:
1. Billed customers for fees earned, $48,020.
2. Purchased supplies on account, $2,060.
3. Received cash from customers on account, $45,140.
4. Paid creditors on account, $1,250.
b Home | b x
Account
Fees Earned
O E
USAA
Debit
a. Journalize these transactions in a two-column journal, using the appropriate number to identify the transactions. Journal entry explanations may be omitted. If an amount box
does not require an entry, leave it blank.
Transaction
The Yale
Credit
Check My Work 2 more Check My Work uses remaining.
X
48,020
000000
Week 2 A X
All work saved.
S
Week 2 A X G What is X
Office 365 SharePoi...
0
b. Post the entries prepared in (a) to the following T accounts: Cash, Supplies, Accounts Receivable, Accounts Payable, Fees Earned. To the left of each amount posted in the
G American X +
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S
Transcribed Image Text:OS x G is land an Xx Products, Services,... Transactions and T Accounts keAssignment/takeAssignmentMain.do?invoker=&takeAssignmentSession Locator=&inprogress=false 9k+ Dashboard Nutshell USAA / Welcome to... C Concur Solutions (1) Cengagel X (2) (3) (4) 1 The following selected transactions were completed during October of the current year: 1. Billed customers for fees earned, $48,020. 2. Purchased supplies on account, $2,060. 3. Received cash from customers on account, $45,140. 4. Paid creditors on account, $1,250. b Home | b x Account Fees Earned O E USAA Debit a. Journalize these transactions in a two-column journal, using the appropriate number to identify the transactions. Journal entry explanations may be omitted. If an amount box does not require an entry, leave it blank. Transaction The Yale Credit Check My Work 2 more Check My Work uses remaining. X 48,020 000000 Week 2 A X All work saved. S Week 2 A X G What is X Office 365 SharePoi... 0 b. Post the entries prepared in (a) to the following T accounts: Cash, Supplies, Accounts Receivable, Accounts Payable, Fees Earned. To the left of each amount posted in the G American X + Check-6 Home Pag... Mail - dgilkey@aev... W X ☆ >> Rain... [ Oth < Previous Next Save and Exit Submit Assignment for Gr S
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