Cash balance = Total debits - Total Credits
= 1000 - 500 i.e 500
| Dudley Company | ||
| Trial Balance | ||
| September 30,2020 | ||
| Account | Debit | Credit |
| Cash | 500 | |
| Accounts payable | 100 | |
| Capital | 300 | |
| Drawing | 200 | |
| Revenue | 600 | |
| Rent expense | 300 | |
| Dudley Company | ||
| Income Statement | ||
| For the month ended September 30,2020 | ||
| Revenue | 1000 | |
| Supplies expense | 200 | |
| Utility Expense | 100 | |
| Wage expense | 400 | |
| Total expense | 700 | |
| Net Income | 300 |
22. Calculate the balance in the cash account (4 points). Cash Debit 400 600 Credit 200...
20. Tom Jones started the coffee shop business with $ 300 of office supplies. He has $ 200 of office supplies left at the end of the month. Record the entry for the office supplies used during the month (6 points). 21. Account Debit Credit 22. Calculate the balance in the cash account (4 points). Cash Debit Credit 400 200 600 300 23.Complete the trial balance (5 points). Cash 500 Accounts Payable 100 Capital 300 Drawi 200 Revenue Rent Expense...
ALBA LTD Unadjusted Trial Balance as at 30 June 2018 Account Debit Credit Cash at bank Accounts receivable GST receivable Prepaid insurance Party equipment Accumulated depreciation – party equipment Furniture Accumulated depreciation – furniture Accounts payable GST payable E. Johns, Capital E. Johns, Drawings Hire fees revenue Salaries expense Rent expense Maintenance expense Electricity expense $ 5 200 2 400 3 300 1 200 31 400 47 300 18 310 26 500 5 700 3 100 1 400 $...
Trial Balance Adjustments Adj. Trial Balance Income Statement Balance Sheet Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit Larkin, Drawing 600 600 600 Cash 3,000 2000 FORMULA FORMULA Salary Exp. 500 120 FORMULA FORMULA Rent Exp. 400 100 FORMULA FORMULA Supplies Exp. 0 200 FORMULA FORMULA Dep. Exp. 0 200 FORMULA FORMULA Insurance Exp. 0 150 FORMULA FORMULA Misc. Exp. 300 FORMULA FORMULA Total 10,300 10,300 2,770 2,770 FORMULA FORMULA FORMULA...
Make a post-Closing Trial Balance for the following balances.
Trial Balance 31-Dec-19 Debit Credit Cash 295 Land 1180 Railroad 200 Utility Company Mike Retland, Capital 150 1500 Service Revenue 400 Rent Revenue 20 Rent Expense Miscellaneous Expense 45 50 $1,920 $1,920 Adjusted Trial Balance 31-Dec-19 Debit Credit Cash 295 Land 1180 Railroad 200 Utility Company Accumulated Depreciation-Railroads Accumulated Depreciation-Utilities Mike Retland, Capital 150 15 1500 Service Revenue 400 Rent Revenue Rent Expense Miscellaneous Expense 45 50 Depreciation Expense 23 $1,943...
Benner Hair Salon ADJUSTED TRIAL BALANCE March 31, 20.- DEBIT CREDIT ACCOUNT TITLE 1 Cash 4,440.00 150.00 2 Supplies 3 Prepaid Insurance 2,354.00 10,507.00 1,000.00 4 Equipment 5 Accumulated Depreciation Equipment 6 Accounts Payable 240.00 13,449.00 7 A. Benner, Capital 8 A.Benner, Drawing 1,500.00 6,230.00 9 Salon Fees 1,036.00 10 Wages Expense 650.00 11 Rent Expense 12 Utilities Expense 130.00 65.00 13 Repair Expense 87.00 14 Miscellaneous Expenses 20,919.00 20,919.00 15 Totals Data for month-end adjustments are as follows: a....
GOO Solutions, Inc. Trial Balance September 15, 2016 Acct # Account Debit Credit $ 3,700 9,100 600 11,700 110 Cash 112 Accounts receivable 115 Supplies 140 Equipment 210 Accounts payable 311 Common stock 315 Dividends 411 Service revenue 511 Salaries expense 515 Rent expense $4,100 20,800 2,700 7,000 2,700 1,400 $31,900$ 31,900 Total More Info Sep 16 Collected $3,400 cash from a client on account. 18 Provided services on account, $1,900. 21 Received $2,500 cash for services provided. 23 Purchased...
i Data Table Wireless Solution Unadjusted Trial Balance November 30, 2018 Balance Account Title Debit Credit Cat Accounts Receivable Prepaid Rent Office Supplies Equipment Accumulated Depreciation-Equipment Accounts Payable Salaries Payable Common Stock S 3,500 3,800 1,400 4,000 31,700 S 1,100 5,000 35.50a Print Done 1 of 9 (4 complete) i Data Table fo Equipment Accumulated Depreciation-Equipment Accounts Payable Salaries Payable Common Stock Divndends Service Revenue Depreciation Expense-Equipment Salaries Expense Rent Expense Utilities Expense 31,700 S 1,100 5,000 35,500 2,300 8,300...
An adjusted trial balance is given below. Debit Credit Cash $ 15 000 Accounts receivable 3000 Prepaid rent 900 Inventory 27000 Accounts payable $ 4 200 Salaries payable 1500 Loan payable 900 Smith, capital 13700 Drawings 1500 Sales revenue 96100 Sales returns and allowances 1500 Sales discounts 700 Cost of sales 24000 Salaries expense 20000 Rent expense 14000 Selling expense 8300 Supplies expense 500 minusminusminusminusminusminusminus Total $ 116 400 $ 116 400 What will be the final balance in the...
Unadjusted Adjustments Adjsuted Income statement Balance sheet Credit Debit Debit Credit Debit Debit Credit Debit Credit Credit Cash $1,500 $1,000 $6200 $7,700 S7,700 Accounts receivable $10,100 S11,100 $11,100 Cleaning supplies Prepaid insurance $1,400 $400 S1,800 S400 $4,600 $4,800 S9,000 $200 S4,600 S9,000 Truck $9,000 S350 Accumulated depreciation- Truck Accounts payable Salaries payable Напу, саpital Harry, withdrawls $350 S350 S6,000 $6,000 S6,000 $700 S700 S700 S19,500 S19,500 $18,000 $1,500 $500 500 $500 Service revenue $10,500 $1,000 Si1,500 $11,500 S1,700 Salaries expense...
Trial Balance Adjustments Trial Balance Account Names Debit Credit Debit Credit Debit Credit Cash $3,600 Accounts Receivable 6,400 Office Supplies 2,200 Prepaid Insurance 2,400 Equipment 28,000 Accumulated Depreciation-Equipment $8,500 Accounts Payable 5,100 Salaries Payable Common Stock 12,200 Dividends 27,000 Service Revenue 73,000 Depreciation Expense-Equipment Supplies Expense Utilities Expense 4,700 Salaries Expense 24,500 Insurance Expense Total $98,800 $98,800 a. As of December 31, Ganville had performed $100 of service revenue but has not yet billed customers. b. At the end of...