Prepare the adjusting entries for the information provided
| General Journal | ||||||
| # | Date | Account name | Ref | Debit | Credit | |
| 1 | January 3 | Payroll expense | $ 110,000 | |||
| Cash | $ 110,000 | |||||
| 2 | January 3 | Inventory | $ 55,692 | |||
| Raw Materials | $ 37,128 | |||||
| Shipping expense | $ 550 | |||||
| Accounts Pay - Dallas Bike Basics | $ 92,820 | |||||
| Cash | $ 550 | |||||
| 3 | January 3 | Accounts Rec - Windy City Bikes | $ 22,000 | |||
| Sales | $ 22,000 | |||||
| Cost of Goods Sold | $ 15,180 | |||||
| Inventory | $ 15,180 | |||||
| 4 | January 7 | Cash | $ 16,850 | |||
| Accounts Rec - Northwest Bikes | $ 16,850 | |||||
| 5? | January 10 | Accrued Expenses | $ 988 | |||
| Cash | $ 988 | |||||
| 8 | January 11 | Raw Materials Inventory | $ 99,418 | |||
| Accounts Payable - Space Bikes | $ 99,418 | |||||
| 9 | January 11 | Cash | $ 22,000 | |||
| Accounts Rec - Windy City Bikes | $ 21,560 | |||||
| Cash Discount | $ 440 | |||||
| 10 | January 12 | Accounts Pay - Dallas Bike Basics | $ 92,820 | |||
| Cash | $ 92,820 | |||||
| 11 | January 17 | Accounts Pay - Lightbulb Accessory Kits | $ 17,010 | |||
| Cash | $ 17,010 | |||||
| 12 | January 17 | Accounts Rec - Rocky Mountain Bikes | $ 128,130 | |||
| Sales | $ 128,130 | |||||
| Cost of Goods Sold | $ 79,441 | |||||
| Inventory | $ 79,441 | |||||
| 13 | January 17 | Accounts Payable - Space Bikes | $ 99,418 | |||
| Shipping Expense | $ 802 | |||||
| Cash | $ 100,220 | |||||
| $ 797,427 | $ 797,427 | |||||
| 14 | January 17 | Bad Debts Expense | $ 1,610 | |||
|
Accounts Receivable |
$ 1,610 | |||||
| 15 | January 18 | Cash | $ 89,960 | |||
| Accounts Receivable | $ 89,960 | |||||
| 16 | January 19 | Accounts Payable | $ 350 | |||
| Cash | $ 350 | |||||
| 17 | Accounts Receivable | $ 2,507 | ||||
| Sales | $ 2,300 | |||||
| Sales tax payable | $ 207 | |||||
| cost of goods sold | $ 1,380 | |||||
| Merchandise inventory | $ 1,380 | |||||
| 19 | January 24 | Accounts receivable | $ 27,450 | |||
| Sales | $ 27,450 | |||||
| Cost of goods sold | $ 17,092 | |||||
| Inventory | $ 17,092 | |||||
| 18 | January 25 | Prepaid advertising expense | $ 15,000 | |||
| Bank | $ 15,000 | |||||
| 20 | January 26 | Bank | $ 27,450 | |||
| Accounts receibable | $ 27,450 | |||||
| 22 | Accounts payable | $ 30,890 | ||||
| cash | $ 30,890 | |||||
| 23 | accounts receivable | $ 340,805 | ||||
| sales revenue | $ 340,805 | |||||
| Cost of good sold | $ 234,680 | |||||
| Merchandise inventory | $ 234,680 | |||||
| 24 | January 31 | Sales tax payable | $ 3,063 | |||
| Cash | $ 3,063 | |||||
| 25 | Rent expense | $ 4,500 | ||||
| Cash | $ 4,500 | |||||
| 26 | Accounts Payable | $ 4,195 | ||||
| Bank | $ 4,195 | |||||
| $ 799,322 | $ 799,322 | |||||
Adjustment information as of January 31, not already given in the original transaction(s). You must show your calculations for those entries requiring them to earn credit:


Prepare the adjusting entries for the information provided General Journal # Date Account name Ref Debit...
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the perpetual inventory system.) (Round answers to 0
decimal places, e.g. 1,250. Credit account titles are automatically
indented when amount is entered. Do not indent manually. Record
journal entries in the order presented in the
problem.)
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at January 31, 2022. (Round answers to 0 decimal
places, e.g. 1,250.)
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