7 8 9 Cash 10 Accounts Receivable 11 Cleaning Supplies 12 Prepaid Insurance 13 Office Equipment 14 Accum. Depr-Office Equip. 15 Accounts Payable 16 Wages Payable 17 Polly, Capital 18 Polly, Drawing 19 Revenue 20 Wages Expense 21 Rent Expense 22 Utilities Expense 23 Cleaning Supplies Expense 24 Insurance Expense 25 Depreciation Expense-Office Eq 26 Totals. Trial Balance Credit Debit 55,000 1,600 4,500 1,500 10,000 2,300 30.000 4,700 4,100 113,700 1,000 2,000 25,700 85,000 113,700 Adjustments Debit Credit 27 Net income or loss 28 Totals 29 30 Adjusting Entry information for December 31: 31 A. Prepaid Insurance which has expired $500. 32 B. Ending Cleaning Supplies Inventory is $1,500. 33 C. Service Revenue earned but not yet received is $4,000. 34 D. Depreciation on the Office Equipment for this year, $400. 35 E. Wages accrued but not yet paid, $2,000. 36 27 (c) Journalize the adiusting entries using the worksheet as a hasis Adjusted Trial Balance Income Statement Debit Credit Debit Credit Balance Sheet Debit Credit

College Accounting, Chapters 1-27
23rd Edition
ISBN:9781337794756
Author:HEINTZ, James A.
Publisher:HEINTZ, James A.
Chapter5: Adjusting Entries And The Work Sheet
Section: Chapter Questions
Problem 6CE
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7
8
9 Cash
10 Accounts Receivable
11 Cleaning Supplies
12 Prepaid Insurance
13 Office Equipment
14 Accum. Depr-Office Equip.
15 Accounts Payable
16 Wages Payable
17 Polly, Capital
18 Polly, Drawing
19 Revenue
20 Wages Expense
21 Rent Expense
Trial Balance
Debit
55,000
1,600
4,500
1,500
10,000
2,300
30,000
4,700
4,100
Post-Closing Trial Balance
113,700
Credit
1,000
2,000
25,700
85,000
22 Utilities Expense
23 Cleaning Supplies Expense
24 Insurance Expense
25 Depreciation Expense-Office Eq
26 Totals
27 Net income or loss
28 Totals
29
30 Adjusting Entry information for December 31:
31 A. Prepaid Insurance which has expired $500.
32 B. Ending Cleaning Supplies Inventory is $1,500.
33 C. Service Revenue earned but not yet received is $4,000.
113,700
Adjustments
Debit
34 D. Depreciation on the Office Equipment for this year, $400.
35 E. Wages accrued but not yet paid, $2,000.
36
27 (c) Journalize the adiusting entries using the worksheet as a hasis
Credit
Debit
VIVA SV. VILKY
Adjusted Trial Balance Income Statement
Debit Credit
Debit
Credit
Balance Sheet
Credit Debit Credit
Transcribed Image Text:7 8 9 Cash 10 Accounts Receivable 11 Cleaning Supplies 12 Prepaid Insurance 13 Office Equipment 14 Accum. Depr-Office Equip. 15 Accounts Payable 16 Wages Payable 17 Polly, Capital 18 Polly, Drawing 19 Revenue 20 Wages Expense 21 Rent Expense Trial Balance Debit 55,000 1,600 4,500 1,500 10,000 2,300 30,000 4,700 4,100 Post-Closing Trial Balance 113,700 Credit 1,000 2,000 25,700 85,000 22 Utilities Expense 23 Cleaning Supplies Expense 24 Insurance Expense 25 Depreciation Expense-Office Eq 26 Totals 27 Net income or loss 28 Totals 29 30 Adjusting Entry information for December 31: 31 A. Prepaid Insurance which has expired $500. 32 B. Ending Cleaning Supplies Inventory is $1,500. 33 C. Service Revenue earned but not yet received is $4,000. 113,700 Adjustments Debit 34 D. Depreciation on the Office Equipment for this year, $400. 35 E. Wages accrued but not yet paid, $2,000. 36 27 (c) Journalize the adiusting entries using the worksheet as a hasis Credit Debit VIVA SV. VILKY Adjusted Trial Balance Income Statement Debit Credit Debit Credit Balance Sheet Credit Debit Credit
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