Not your question?
Ask your question
View similar questions
Add your answer here.Check out some similar questions!
Post-Closing Trial Balance
[ 1 Answers ]
All right, so I have a project that is quite lengthy which involves doing the journal entries, adjusting entries, the work sheets, the trial balances, the balance sheets, and much more Anyway, my question is this: the adjusted trial balance has both debits and credits equal and looks to be correct....
Trial balance
[ 1 Answers ]
is it possible for depreciation expense- building and accumulated depreciation building (the same one) to have a different $value and be correct? For example my accum dep. Had a credit balance of 100 and then after calculating the dep. Exp of 150 I made an entry : dep exp. 150 debited, and accum...
Post closing trial balance
[ 1 Answers ]
Is this how I do the post closing trial balance? Cash debit 6695 Accounts rec debit 1000 Supplies debit 1320 Prepaid rent debit 1650 Prepaid insurance debit 1650 Office equipment debit 9000 Accumulated depreciation credit 250 Accounts payable credit 900 View more questions Search
|