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                      Feb 20, 2012, 09:44 AM
                  
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        I have several adjusting entries and I have posted them but now my instructor is
       
                  
        Giving a different total.  I can't find the problem... HELP!Bonnie
 
 Bath Designs Inc.
 General Journal
 As Of 01/31/12
 
 Date	Refer.	Acct.	Title	Debit	Credit
 
 01/31	Adj. Ent	511	Factory Overhead	1,314.00
 01/31	Adj. Ent	515	Insurance Exp.--Selling	61.25
 01/31	Adj. Ent	516	Insurance Exp.-General	268.80
 01/31	Adj. Ent	131	Prepaid Insurance		1,644.05
 
 01/31	Adj. Ent	521	Office Supplies Expense	250.00
 01/31	Adj. Ent	132	Office Supplies		250.00
 
 01/31	Adj. Ent	520	Depr. Expense--Office Eq.	369.70
 01/31	Adj. Ent	511	Factory Overhead	642.00
 01/31	Adj. Ent	162	Accum. Depr.--Factory Eq.		642.00
 01/31	Adj. Ent	164	Accum. Depr.--Office Eq.		369.70
 
 01/31	Adj. Ent	511	Factory Overhead	225.00
 01/31	Adj. Ent	172	Patents		225.00
 
 01/31	Adj. Ent	524	Property Tax Expense	622.26
 01/31	Adj. Ent	511	Factory Overhead		485.00
 01/31	Adj. Ent	225	Property Tax Payable		137.26
 
 01/31	Adj. Ent	501	Cost of Goods Sold	1,427.24
 01/31	Adj. Ent	511	Factory Overhead		1,427.24
 
 01/31	Adj. Ent	528	Uncollectible Accts. Exp.	7,900.00
 01/31	Adj. Ent	112	Allow.  For Doubt. Accts.		7,900.00
 
 01/31	Adj. Ent	710	Income Tax Expense	6,748.83
 01/31	Adj. Ent	226	Income Tax Payable		6,748.83
 --------------	 --------------
 Totals	19,829.08	19,829.08
 ==============	 ==============
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                      Feb 20, 2012, 09:49 AM
                  
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        You have posted your adjusting entries, but you have not posted the problem, so members on this site are unable to figure out what you did incorrectly.
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                      Feb 20, 2012, 10:00 AM
                  
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        OK here are entries:1.  Insurance expired during January    (Prepaid insurance balance 7140.00)   Factory   1314.00  Selling   61.25      General  268.80
 2.  Office Supplies inventory as of January 31   1650.00  (Beginning balance of office supplies (1900.00)
 3.  Depreciation for the month     Factory Equipment  642.00     Office Equipment    369.70
 4.  Amorization of patents for January (Debit Factory Overhead)   225.00
 5.  Property tax accrued for the month:  Factory  485.00    General 137.26
 6.  Close out underapplied Factory Overhead of 1427.24 to Cost of Goods Sold.
 7.  Based on past experience Bath Designs estimates that 7900.00 is a reasonable balance for the January 31 balance in Allowance for Doubtful Accounts (beginning balance  3367.00)
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                |  | Ultra Member |  | 
 
                  
                      Feb 20, 2012, 10:14 AM
                  
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        For number 5 your debits and credits are not equal.
 For number 7 you are using the wrong amount.  You need to use the difference between 7,900 and 3,367 to get your ending account balance to 7,900
 
 There is nothing listed about Income Tax so I do not know if this is required, or if the amount is right.
 
 The rest of your entries look correct except I do not know what the ent followed by the number means.
 
 Just a note:  On this site the formatting for journal entries will not work right so your entries will look confusing, so it is best just to put Debit, Credit, Dr, or Cr before your entries so that members can understand the entry.  For an example:
 Debit Cash for 10,000
 Credit Pready - Capital for 10,000
 This lets the reader know what account was debited and what account was credited.
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                      Feb 20, 2012, 10:59 AM
                  
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        OK #5 reads... Property tax accrued for the month: Factory  485.00 and General   137.26I did my journal entries as Property Tax Expense - Debit 622.26   Factory Overhead  credit 485 and Property tax payable   credit 137.26... did I do this entry wrong?
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                      Feb 20, 2012, 11:08 AM
                  
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        In your first post on number 5 I misread what your debits and credits were.  By looking at it again your Debit was to Property Tax Expense and your Credits were to Factory Overhead and Property Taxes Payable.  
 The way I would record number 5 is:
 Debit Property Tax Expense for 137.36  (for general)
 Debit Factory Overhead for 485
 Credit Property Taxes Payable for 622.26
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                |  | New Member |  | 
 
                  
                      Feb 20, 2012, 01:42 PM
                  
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        Pready:THANK YOU SO MUCH... that solved my problem!!
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                      Sep 27, 2012, 08:57 PM
                  
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        Do any one have the answers to the Journal I am missing something please help
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