Palisade Creek Co Adjusted Trail Balance May 31st 2019 Debit Amount Credit Amount Particulars Date Description Post. Ref. Debit Credit Cash 84500 2019 Accounts Receivable Merchandise Inventory Estimated Retum Inventory Prepaid Insurance Stores Supplies Store Equipment Accumulated Dep- Store Equipment Accounts Payable Customer Refund Payable Salaries Payable Lynn Tolley, Capital |Lynn Tolley, Drawing Sales Cost of Merchandise sold Sales Salaries Expense Advertising Expense Depreciation Expense Store Supplies Expense Misc Selling Expense Office Salaries Expense Rent Expense Insurance Expense Misc Admin Expense 245875 570000 May 31 Sales 5,316,205 50200 Cost of Merchandise Sold 2,991,950 4800 4000 Sales Salaries Expense 727,800 569500 Advertising Expense 292,000 70700 63150 Depreciation Expense 14,000 $9270 Store Supplies Expense 9,800 13600 685300 Miscellaneous Selling Expense 12,600 135000 Office Salaries Expense 417,700 5316205 2991950 Rent Expense 88,700 727800 Insurance Expense 12,000 292000 14000 Miscellaneous Administrative Expense 7,800 9800 12600 417700 Income Summary 741,855 88700 12000 7800 May 31 Cash 741,855 Income Summary 741,855 6238225 6238225 Palisade Creek Co. Post-Closing Trial Balance May 31, 2019 Debit Balances Credit Balances Cash Accounts Receivable Merchandise Inventory Estimated Returns Inventory Prepaid Insurance Store Supplies Store Equipment Accumulated Depreciation-Store Equipment Accounts Payable Customer Refunds Payable Salaries Payable Lynn Tolley, Capital

Intermediate Accounting: Reporting And Analysis
3rd Edition
ISBN:9781337788281
Author:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Publisher:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Chapter8: Inventories: Special Valuation Issues
Section: Chapter Questions
Problem 7P: Retail Inventory Method EKC Company uses the retail inventory method. The following information for...
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Can you create a post-closing trial balance?

Palisade Creek Co
Adjusted Trail Balance
May 31st 2019
Debit
Amount
Credit
Amount
Particulars
Date
Description
Post. Ref.
Debit
Credit
Cash
84500
2019
Accounts Receivable
Merchandise Inventory
Estimated Retum Inventory
Prepaid Insurance
Stores Supplies
Store Equipment
Accumulated Dep- Store
Equipment
Accounts Payable
Customer Refund Payable
Salaries Payable
Lynn Tolley, Capital
|Lynn Tolley, Drawing
Sales
Cost of Merchandise sold
Sales Salaries Expense
Advertising Expense
Depreciation Expense
Store Supplies Expense
Misc Selling Expense
Office Salaries Expense
Rent Expense
Insurance Expense
Misc Admin Expense
245875
570000
May 31
Sales
5,316,205
50200
Cost of Merchandise Sold
2,991,950
4800
4000
Sales Salaries Expense
727,800
569500
Advertising Expense
292,000
70700
63150
Depreciation Expense
14,000
$9270
Store Supplies Expense
9,800
13600
685300
Miscellaneous Selling Expense
12,600
135000
Office Salaries Expense
417,700
5316205
2991950
Rent Expense
88,700
727800
Insurance Expense
12,000
292000
14000
Miscellaneous Administrative Expense
7,800
9800
12600
417700
Income Summary
741,855
88700
12000
7800
May 31
Cash
741,855
Income Summary
741,855
6238225
6238225
Transcribed Image Text:Palisade Creek Co Adjusted Trail Balance May 31st 2019 Debit Amount Credit Amount Particulars Date Description Post. Ref. Debit Credit Cash 84500 2019 Accounts Receivable Merchandise Inventory Estimated Retum Inventory Prepaid Insurance Stores Supplies Store Equipment Accumulated Dep- Store Equipment Accounts Payable Customer Refund Payable Salaries Payable Lynn Tolley, Capital |Lynn Tolley, Drawing Sales Cost of Merchandise sold Sales Salaries Expense Advertising Expense Depreciation Expense Store Supplies Expense Misc Selling Expense Office Salaries Expense Rent Expense Insurance Expense Misc Admin Expense 245875 570000 May 31 Sales 5,316,205 50200 Cost of Merchandise Sold 2,991,950 4800 4000 Sales Salaries Expense 727,800 569500 Advertising Expense 292,000 70700 63150 Depreciation Expense 14,000 $9270 Store Supplies Expense 9,800 13600 685300 Miscellaneous Selling Expense 12,600 135000 Office Salaries Expense 417,700 5316205 2991950 Rent Expense 88,700 727800 Insurance Expense 12,000 292000 14000 Miscellaneous Administrative Expense 7,800 9800 12600 417700 Income Summary 741,855 88700 12000 7800 May 31 Cash 741,855 Income Summary 741,855 6238225 6238225
Palisade Creek Co.
Post-Closing Trial Balance
May 31, 2019
Debit Balances
Credit Balances
Cash
Accounts Receivable
Merchandise Inventory
Estimated Returns Inventory
Prepaid Insurance
Store Supplies
Store Equipment
Accumulated Depreciation-Store Equipment
Accounts Payable
Customer Refunds Payable
Salaries Payable
Lynn Tolley, Capital
Transcribed Image Text:Palisade Creek Co. Post-Closing Trial Balance May 31, 2019 Debit Balances Credit Balances Cash Accounts Receivable Merchandise Inventory Estimated Returns Inventory Prepaid Insurance Store Supplies Store Equipment Accumulated Depreciation-Store Equipment Accounts Payable Customer Refunds Payable Salaries Payable Lynn Tolley, Capital
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