Ask Experts Questions for FREE Help !
Ask
    megabane's Avatar
    megabane Posts: 2, Reputation: 1
    New Member
     
    #1

    Oct 10, 2015, 03:05 AM
    Prepare an adjusted trial balance
    This is my home work . I think that I have done with question a, but please check it for me. In question b, I can't prepare an adjusted trial balance ( always debits 77450 - Cr 74050 ).
    Thank you so much !

    P/s : sorry for my bad english.

    Unadjusted trial balance
    As at 30 June 2011
    No. Account title Debit Credit
    Cash $7750
    Account receivable 6000
    Prepaid insurance 1800
    Supplies 2000
    Office Equipment 15000
    Accumulated depreciation $10000
    Account payable 4500
    Service Revenue received in advance 4000
    Share capital 30000
    Retained earnings 3750
    Service revenue 27900
    Salaries expense 44000
    Rent expense 1000
    Insurance expense 600
    Electricity expense 2000
    $80150 $80150

    Additional information: (accounting cycle is from 1 July, 2010 to 30 June, 2011)
    1. Supplies on hand at 30 June total $1000
    2. An electricity bill for $150 for June has not been recorded and will not be paid until next month
    3. The prepaid insurance is the annual premium for insurance commencing on 1 January 2011.
    4. Services were performed during the current period in relation to $2500 of revenue received in advance in the previous period
    5. Salaries of $1500 are owed at 30 June
    6. Depreciation expense for the year is $2000
    7. Invoices representing $3000 of services performed during the month have not been recorded as of 30 June, 2011

    Required:
    a. Prepare adjusting entries as at 30 June, 2011
    b. Prepare an adjusted trial balance as at 30 June, 2011 (hint: find out total balance of all accounts after adjustment process)

    The part I did
    sorry again because I write down in the papper.Name:  question a.jpg
Views: 196
Size:  450.7 KBName:  question b-1.jpg
Views: 195
Size:  129.9 KBName:  question b-2.jpg
Views: 189
Size:  515.4 KB
    paraclete's Avatar
    paraclete Posts: 2,706, Reputation: 173
    Ultra Member
     
    #2

    Oct 11, 2015, 02:32 PM
    The way to do this is correctly intrepret the question and either set up T-accounts to post your entries or set up a worksheet
    Cash $7750 7750 7750
    Account receivable 6000 6000 3000 9000
    Prepaid insurance 1800 1800 900 900
    Supplies 2000 2000 1000 1000
    Office Equipment 15000 15000 15000
    Accumulated depreciation $10000 10000 2000 12000
    Account payable 4500 4500 0 4500
    Accrued expenses 150 150
    Service Revenue received in advance 4000 4000 2500 1500
    Share capital 30000 30000 0 30000
    Retained earnings 3750 3750 0 3750
    Service revenue 27900 27900 5500 33400
    Salaries expense 44000 44000 44000
    Supplies expense 1000 1000
    Depreciation expense 2000 2000
    Rent expense 1000 1000 1000
    Insurance expense 600 600 900 1500
    Electricity expense 2000 2000 150 2150
    $80150 $80150 80150 80150 9550 9550 85300 85300
    megabane's Avatar
    megabane Posts: 2, Reputation: 1
    New Member
     
    #3

    Oct 11, 2015, 07:21 PM
    Thank you so much!

Not your question? Ask your question View similar questions

 

Question Tools Search this Question
Search this Question:

Advanced Search

Add your answer here.


Check out some similar questions!

Prepare an adjusted trial balance for shiras distributing company [ 19 Answers ]

Prepare an adjusted trial balance for shiras distributing

Prepare an adjusted trial balance for shiras distributing company [ 2 Answers ]

Dec. 6 Paid $1,920 for salaries and wages due employees, of which $830 is for December and $1,090 is for November salaries and wages payable. 8 Received $1,900 cash from customers in payment of account (no discount allowed). 10 Sold merchandise for cash $6,570. The cost of the merchandise sold...

Prepare an adjusted trial balance for shiras distributing company [ 2 Answers ]

I need to do the adjusments. Plus I have Adjustment data: 1. Accrued salaries payable $790. 2. Depreciation $230 per month. 3. Supplies on hand $1,620.

Trial Balance Worksheet, Adjustments & Adjusted Trial Balance [ 4 Answers ]

I'm trying to do a Trial Balance worksheet and this is what I have to do, I believe these go in the adjustments section. a. Unexpired insurance balance at December 31, 2008: $2,500 b. Supplies on hand at December 31, 2008: $500 c. Depreciation on building for the...

Prepare adjusted trial balance [ 1 Answers ]

Trial Balance (December 31, 2008) Automobiles (Dr.) 62,000 Accumulated amortization - Automobilies (Cr.) 15,500 Office furniture (Dr.) 16,000 Accumulated amortization - office furniture (Cr.) 5,600 Note Payable (Cr.) 46,000 Interest expense (Dr.) 2,415 Other date:


View more questions Search