Journalizing transactions, posting to T-accounts, and preparing a trial balance
Use the chart of accounts you created in Chapter 1 (and add accounts where necessary). All of the first month”s activity for Shine King Cleaning is as follows.
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Nov 1 |
Evan Hudson deposited $35,000 in the business account. Also on this date, Evan transferred his truck title, worth $8,000, to the business. Evan received $43,000 of capital. |
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2 |
Wrote a check for $2,000 to Pleasant Properties. In the “for” area of the check, it states “November through February Rent.” (Debit Prepaid rent) |
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3 |
Purchased business insurance policy for $2,400 for the term November 1, 2012, through October 31, 2013, and paid cash. (Debit Prepaid insurance) |
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4 |
Evan went to the Cleaning Supply Company and purchased $270 of cleaning supplies on account. The invoice is due 20 days from the date of purchase. |
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5 |
Purchased on account an industrial vacuum cleaner from Penny Purchase costing $1,000. The invoice is payable on or before November 25. |
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7 |
Purchased a computer and printer costing a total of $1,200. A check for the same amount to the computer store was written on the same date. |
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9 |
Performed cleaning services on account for Pierre”s Wig Stand in the amount of $3,000. |
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10 |
Deposited Pierre”s check for $100 in the bank. |
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15 |
Wrote check payable to Eric Ryder for $500 for contract labor. |
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16 |
Received $3,600 for 1 year contract beginning November 16 for cleaning services to be provided to the Sea Side Restaurant. Contract begins November 16, 2012, and ends November 15, 2013. (Credit |
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17 |
Provided cleaning services for Tip Top Solutions for $800. Tip Top paid with a check. |
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18 |
Received water and electric bill for $175 with due date of December 4, 2012. |
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20 |
Borrowed $40,000 from bank with interest at rate of 9% per year. |
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21 |
Deposited check from Pierre”s Wig Stand for $900, with the notation “on account.” |
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25 |
Wrote check to Penny Purchase for invoice #1035 in the amount of $500. |
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29 |
Wrote check payable to St. Petersburg News for $100 for advertising. |
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30 |
Hudson withdrew cash of $600. |
Requirements
1. Journalize transactions as required from the activity data.
2. Post journal entries to T-accounts and calculate account balances.
3. Prepare the trial balance at November 30.