Tuesday, May 21, 2019

Accounts Receivable and Joan Miller

Sub Finance Topic Journal Entries Question Posting Journal entries into a worksheet ClassOf1 provides expert guidance to College, Graduate, and High school students on grooming and assignment problems in Math, Sciences, Finance, Marketing, Statistics, Economics, Engineering, and many other(a) subjects. The following are the balances in the accounts for Joan Miller Advertising Agency as of January 31, cc1 Cash Accounts due Fees Receivable Art Supplies space Supplies Pre gainful Rent Prepaid Insurance Art Equipment Accumulated Depreciation, Art eq. potency Equipment Accumulated Depreciation representation Eq. Accounts Payable Unearned Art Fees Wages Payable Joan Miller, Capital Totals debit citation $1,720 2,800 200 1,300 600 400 440 4,200 $70 3,000 50 3,170 600 180 10,590 ______ ______ $14,660 14,660 During the month of February, the agency engaged in the following transactions Feb. 1 Received an additional investment of exchange from Joan Miller, $6,000 www. classof1. com *T he Homework solutions from ClassOf1 are mean to help the student ascertain the approach to re resoluteness power the problem and not for submitting the same in status of your academic submissions for grades. Sub FinanceTopic Journal Entries Feb. 2 Purchased additional office equipment with cash, $800. Feb. 5 Received art equipment transferred to the clientele from Joan Miller, $1,400. Feb. 6 Purchased additional office supplies with cash, $80 Feb. 7 Purchased additional art supplies on credit from Taylor go forth Company, $500. Feb. 8 Completed the series of advertisements for Marsh release Company that began on January 31, and billed Marsh Tire Company for the total work performed, including the accrued revenues that had been recognized in January of $200 (see fees receivable). The total bill is $800.Feb. 9 stipendiary the secretary for two weeks wages, $600. Feb. 12 Paid the amount due to Morgan Equipment for the office equipment purchased last month $1,500 Feb. 13 Accept ed an advance fee in cash for artwork to be done for other agency, $1,800. Feb. 14 Purchased a copier from Morgan Equipment for $2,100 paying $250 in cash and agreeing to pay he rest in equal payments over the next five months. Feb. 15 Performed advertising services and accepted a cash fee, $1,050. Feb. 16 Received payment on account from Ward Department Stores for services performed last month, $2,800 Feb. 9 Paid amount due for the telephone bill that was received and recorded at the end of January , $70. 20. Feb. 20 Performed advertising services for Ward Department Stores and agreed to accept payment next month $3,200. Feb. 21 Performed art services for a cash fee, $580 Feb. 22 Received and paid the utility bill for February, $110. Paid the secretary for two weeks wages, $600. www. classof1. com *The Homework solutions from ClassOf1 are intended to help the student understand the approach to solving the problem and not for submitting the same in lieu of your academic submissions for grades.Sub Finance Topic Journal Entries Feb. 26 Paid the rent for March in advance, $400. Feb. 27 Received the telephone bill for February, which is to be paid next month, $80. Feb. 28 Paid out cash to Joan Miller as a withdrawal for own(prenominal) living expenses, $1,400. At the end of February, adjustments are made for the following a. b. c. d. e. f. g. h. i. One months pay rent has expired. One months prepaid insurance has expired, $40. An inventory of art supplies reveals $720 of supplies are quieten on hand on February 28 th.An inventory of office supplies reveals $300 in office supplies allow been used in February. Depreciation on the Art equipment for February is calculated to be $90. Depreciation on the index equipment for February is calculated to be $100. Art services performed for which payment has been received in advance total, $1,400 Advertising services performed that will not be billed until March total $340. Three days worth of secretarial wages had accr ued by the end of February. Required Prepare the general journal entries or cipher into a worksheet the transactions completed in February, 2001Solution Joan Miller Advertising Agency Worksheet Trial Balance transactions 1/31/2001 Name of the Account Debit Cash $1,720 Accounts Receivable Fees Receivable Art Supplies Credit 2800 200 1300 February Debit $12,23 0 3400 Trial Balance 2/28/2001 (Unadjusted) Credit Debit $5,810 $8,140 2800 200 Credit $3,400 $0 $1,300 www. classof1. com *The Homework solutions from ClassOf1 are intended to help the student understand the approach to solving the problem and not for submitting the same in lieu of your academic submissions for grades.Sub Finance Topic Journal Entries Office Supplies Prepaid Rent Prepaid Insurance Art Equipment Accumulated Depreciation, Art Eq. Office Equipment Accumulated Depreciation, Office Eq. Accounts Payable Unearned Art Fees Wages Payable 600 400 440 4200 580 400 $70 3000 $70 4300 $7,300 50 3170 600 180 Joan Miller, Ca pital $50 1570 600 180 10590 Joan Miller, Withdrawals Fees Earned Wages disbursement Utilities Expense Telephone Expense Total $1,180 $800 $440 $4,200 2430 1800 $4,030 $1,800 $0 $17,99 0 7400 1400 $1,400 5430 $14,66 0 $14,66 1020 110 80 $25,87 0 $25,87 0 $5,430 $1,020 $110 $80 $29,37 0 $29,37 0 ** End of the Solution ** ClassOf1 provides expert guidance to College, Graduate, and High school students on homework and assignment problems in Math, Sciences, Finance, Marketing, Statistics, Economics, Engineering, and many other subjects. www. classof1. com *The Homework solutions from ClassOf1 are intended to help the student understand the approach to solving the problem and not for submitting the same in lieu of your academic submissions for grades.

No comments:

Post a Comment

Note: Only a member of this blog may post a comment.