Presented below is financial information related to 2003 operation of the Raheem Company. Cash 10,000, Accounts receivable 2,400, Fees earned 16,500, Equipment 25,000, Notes payable13,000, Unearned fees 1,200 , Capital14,000, Supplies expense 2,200, Salaries Expense 3,800, Drawing 1,300 Required: Prepare corrected adjusted trial balance, income statement and balance sheet closing entries and post closing trial balance

Survey of Accounting (Accounting I)
8th Edition
ISBN:9781305961883
Author:Carl Warren
Publisher:Carl Warren
Chapter2: Basic Accounting Systems: Cash Basis
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Problem 2.10E: Effects of transactions on Accounting equation On Time Delivery Service had the following selected...
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. Presented below is financial information related to 2003 operation of the Raheem Company. Cash 10,000, Accounts receivable 2,400, Fees earned 16,500, Equipment 25,000, Notes payable13,000, Unearned fees 1,200 , Capital14,000, Supplies expense 2,200, Salaries Expense 3,800, Drawing 1,300 Required: Prepare corrected adjusted trial balance, income statement and balance sheet closing entries and post closing trial balance and from the following data 4. The statement an ending balance of $14,422 for the month of July. After arranging the month’s canceled checks in numerical order and examining the bank statement, Hunt’s accountant notes the following: i. A deposit of $3,100 on July 31 was not shown on the bank statement. (It was in transit at the end of the month.) ii. Checks No. 625 for $326, No. 631 for $426, and No. 634 for $185 are outstanding. iii. Check No. 627 was voided at the time it was written. iv. The bank’s service charge for the month is $7. v. A direct deposit of $3,200 was made by Joy Company, a regular customer. vi. A transfer of $425 was made out of Hunt’s account into the account of Martin Custodial Service for payment owed. vii. The bank paid interest of $60 on Hunt’s average balance. viii. Check No. 630 for Thelma Jones’s wages was recorded in the accounting records as $240 ix. instead of the correct amount, $420. x. The cash account in the Hunt’s general ledger shows a balance on July 31 of $13,937. Prepare bank reconciliation
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