College Accounting (Book Only): A Career Approach
College Accounting (Book Only): A Career Approach
13th Edition
ISBN: 9781337280570
Author: Scott, Cathy J.
Publisher: South-Western College Pub
bartleby

Concept explainers

bartleby

Videos

Textbook Question
Book Icon
Chapter 2, Problem 2PB

J. Carrie established Carrie’s Photo Tours during June of this year. The accountant prepared the following chart of accounts:

Chapter 2, Problem 2PB, J. Carrie established Carries Photo Tours during June of this year. The accountant prepared the

The following transactions occurred during the month of June:

  1. a. Carrie deposited $30,000 cash in a bank account in the name of the business.
  2. b. Bought office equipment for cash, $1,850, Ck. No. 1001
  3. c. Bought computer software from Morey’s Computer Center, $640, paying $350 in cash and placing the balance on account, Ck. No. 1002.
  4. d. Paid current month’s rent, $950, Ck. No. 1003.
  5. e. Sold services for cash, $1,575.
  6. f. Bought a neon sign from The Sign Company, $1,335, paying $435 in cash and placing the balance on account, Ck. No. 1004.
  7. g. Received bill from The Gossiper for advertising, $445.
  8. h. Bought supplies on account from City Supply, $460.
  9. i. Received and paid the electric bill, $380, Ck. No. 1005.
  10. j. Paid on account to The Gossiper, $245, Ck. No. 1006.
  11. k. Sold services for cash, $3,474.
  12. l. Paid wages to an employee, $930, Ck. No. 1007.
  13. m. Carrie invested his personal computer with a fair market value of $1,000 in the business.
  14. n. Carrie withdrew cash for personal use, $800, Ck. No. 1008.
  15. o. Received and paid the bill for city business license, $75, Ck. No. 1009.

Required

  1. 1. Record the owner’s name in the Capital and Drawing T accounts.
  2. 2. Correctly place the plus and minus signs for each T account and label the debit and credit sides of the accounts.
  3. 3. Record the transactions in the T accounts. Write the letter of each entry to identify the transaction.
  4. 4. Foot the T accounts and show the balances.
  5. 5. Prepare a trial balance, with a three-line heading, dated June 30, 20--.
Blurred answer
Students have asked these similar questions
The following information applies to the questions displayed below.] Rick Hall owns a card shop: Hall’s Cards. The following cash information is available for the month of August Year 1. As of August 31, the bank statement shows a balance of $13,250. The August 31 unadjusted balance in the Cash account of Hall’s Cards is $9,564. A review of the bank statement revealed the following information:  A deposit of $1,250 on August 31, Year 1, does not appear on the August bank statement. It was discovered that a check to pay for baseball cards was correctly written and paid by the bank for $1,750 but was recorded on the books as $2,650. When checks written during the month were compared with those paid by the bank, three checks amounting to $4,095 were found to be outstanding. A debit memo for $59 was included in the bank statement for the purchase of a new supply of checks.
prepare the journal entries and state the impact each transaction had on net income
In the process of your examination of the financial statements of the Malu-oy Company for the year ended December 31, 20X6, you obtained the following data on its current account. The bank statement on November 30, 20X6 showed a balance of P76,500. Among the bank credits in November was a customer’s note for P25,000 collected for the account of the company which the company recognized in December among its receipts. Included on the bank debits were cost of checkbooks amounting to P300 and a P10,000 check which was charged by the bank in error against Malu-oy Company account. Also in November, you ascertained that there were deposits in transit amounting to P20,000 and outstanding checks totaling P42,500. The bank statement for the month of December showed total credit of P104,000 and total charges of P51,000. The company’s books for December showed total receipts of P183,900, disbursements of P101,800 and a balance of P121,400. Bank debit memos for December were: No. 14334 for service…

Chapter 2 Solutions

College Accounting (Book Only): A Career Approach

Knowledge Booster
Background pattern image
Accounting
Learn more about
Need a deep-dive on the concept behind this application? Look no further. Learn more about this topic, accounting and related others by exploring similar questions and additional content below.
Similar questions
SEE MORE QUESTIONS
Recommended textbooks for you
Text book image
Century 21 Accounting Multicolumn Journal
Accounting
ISBN:9781337679503
Author:Gilbertson
Publisher:Cengage
The accounting cycle; Author: Alanis Business academy;https://www.youtube.com/watch?v=XTspj8CtzPk;License: Standard YouTube License, CC-BY