View Full Version : I am a little confused on how it record this adjusting entry.
Mamush
Apr 21, 2009, 10:28 AM
The Question is...
A total of $430 worth of advertising copy, paid for in advance and correctly charged to the Advertising Expense account, will be received early next quarter.
What is the logical right answer for this data?
pready
Apr 21, 2009, 03:15 PM
If your finacancials are prepared before you receive the advertising service, then you must do an adjusting entry.
The adjusting entgry will be
Debit PrePaid Advertising for the amount paid
Credit Advertising Expense for the amount paid.
After the service has been provided then the journal entry will be:
Debit Advertising Expense for the amount
Credit PrePaid Advertising for the amount
TOD
May 12, 2009, 10:57 AM
If the expense has already been recorded, and the service has not been received, why the need for the adjusting entry? Isn't the adjusting entry provided removing the expense, and removing the credit from the prepaid account?
It would seem to me that no entry would be required..