ACT 300 MODULE 2 ADJUSTED TRIAL
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ACT 300 MODULE 2 ADJUSTED TRIAL
For this assignment, you are required to
present the nine correct journal entries in an Excel spreadsheet.
Linda Ace started her own consulting firm,
Modine Consulting, on May 1, 2008. The trial balance at May 31 is as detailed
below.
MODINE CONSULTING
Trial Balance
|
May 31, 2008AccountNumber
|
Debit
|
Credit
|
|
|
101
|
Cash
|
$7,700
|
|
|
112
|
Accounts
Receivable
|
4,000
|
|
|
126
|
Supplies
|
1,500
|
|
|
130
|
Prepaid
Insurance
|
4,800
|
|
|
149
|
Office
Furniture
|
9,600
|
|
|
201
|
Accounts
Payable
|
$3,500
|
|
|
209
|
Unearned
Service Revenue
|
3,000
|
|
|
301
|
L. Ace,
Capital
|
19,100
|
|
|
400
|
Service
Revenue
|
6,000
|
|
|
726
|
Salaries
Expense
|
3,000
|
|
|
729
|
Rent Expense
|
1,000
|
In addition to those accounts listed on the
trial balance, the chart of accounts for Modine Consulting also contains the
following accounts and account numbers: No. 150 Accumulated Depreciation –
Office Furniture; No. 229 Travel Payable; No. 212 Salaries Payable; No. 717
Depreciation Expense; No. 722 Insurance Expense; No. 736 Travel Expense; and
No. 631 Supplies Expense.
Other data:
1.
$500 worth of supplies
has been used during the month.
2.
Travel expenses
incurred, but not payed, on May 31, 2008 are $200.
3.
The insurance policy
is for two years.
4.
$1,000 of the balance
in the unearned service revenue account remains unearned at the end of the
month.
5.
May 31 is a Wednesday,
and employees are paid on Fridays. Modine Consulting has two employees, who are
paid $700 each for a five-day work week.
6.
The office furniture
has a five-year life with no salvage value. It is being depreciated at $160 per
month for 60 months.
7.
Invoices representing
$1,000 of services performed during the month have not been recorded as of May
31.
Instructions:
In Excel, following the six-column spreadsheet
format used for the company Fast Forward in Chapter 3 of textbook, add the
company name, the date of the statement, and today’s date and then enter: (a)
the debits and credits for the unadjusted trial balance for May 31; (b) the
debits and credits adjustments at the end of May 31; and (c) the total debits
and credits of the adjusted trial balance for the month of May. Label each
adjustment A through G.
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