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    Rosebud1181's Avatar
    Rosebud1181 Posts: 1, Reputation: 1
    New Member
     
    #1

    Apr 10, 2007, 09:39 AM
    Adiusting entries
    Trial balance
    Cash 2300 debit
    a/r15000
    Supplies 3000
    Equimpent 3600
    a/p 3500 credit
    Unearned fees 4000 credit
    Oscar daly capital 5200 credit
    Oscar daly drawing 3000 debit
    Fees earned 90500 credit
    Wages exp. 21000 debit
    Rent exp. 16000 debit
    Utilities exp. 11500 debit
    Mis exp. 1800 debit
    150000 150000

    Journalize the adjusting entries necessary for April 30 2006 on a general journal

    a. fees earned but unbilled on April 30 were 3200
    A/R 3200 debit
    Fees earned 3200 credit

    B. supplies on hand on April 30 were 1010
    Supplies exp 2590 debit
    Supplies 2590 credit

    c. Depreciation of equipment was estimated to be 3850 fro the yr.
    Depreciation exp. 250 debit
    Accumulated Depreciation 250 credit

    d. the balance in unearned fees represented the April 1 receipt in advamce fro services to be provided. Only 1000 of the services was provided between April 1 and April 30
    Cash 3000 debit
    Unearned fees 3000 credit

    E. unpaid wages acrued on April 30 were 820
    Cash 820 debit
    Unpaid wages 820 credit

    Are these correct I was a little confused.
    CaptainForest's Avatar
    CaptainForest Posts: 3,645, Reputation: 393
    Ultra Member
     
    #2

    Apr 10, 2007, 08:41 PM
    A - correct

    B
    Dr. Supplies Expense 1,990
    Cr. Supplies 1,990
    3,000-1,010 = 1,990

    C - how did you get 250?
    It should be 3850

    D
    Dr. Unearned Revenue 1,000
    Cr. Revenue 1,000

    E
    Dr. Wages Expense 820
    Cr. Wages Payable

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