Do I use all the account types from my journal entry to create my trial balance?
Hello, this is my journal entry but I am confused as what to use from this to create my trial balance. Can someone help me clarify this?
General Journal
Date Description(Account Name) Debit Credit
Oct. 1 Cash 12,000
Oct. 1 Common Stock 12,000
Oct. 1 Cash 1,200
Oct. 1 Prepaid Insurance 1,200
Oct. 1 Rent Expense 1,040
Oct. 1 Cash 1,040
Oct. 3 Equipment Repair 4,400
Oct. 3 Cash 600
Oct. 3 Accounts Payable 3800
Oct. 8 Repair Supplies 390
Oct. 8 Accounts Payable 390
Oct. 12 Utility Expense 154
Oct. 12 Cash 154
Oct. 16 Revenue 1,362
Oct. 16 Cash 1,362
Oct. 19 Supplies 200
Oct. 19 Cash 200
Oct. 31 Revenue 1,310
Oct. 31 Cash 1,310
Oct. 31 Cash 800
Oct. 31 Dividends 800
Totals 22,856 22,856