Adjusting entries from trial balances

The unadjusted and adjusted trial balances for Editorial Services Co. on March 31, 2014,are shown below.

Editorial Services Co.

Trial Balances

March 31, 2014

Unadjusted

Adjusted

Debit Balances

Credit Balances

Debit Balances

Credit Balances

Cash . .

8

8

Accounts Receivable

19

22

Supplies

6

5

Prepaid Insurance .

10

4

Land . .

13

13

Equipment .

20

20

Accumulated Depreciation—

4

6

Accounts Payable .

13

13

Wages Payable

0

1

Capital Stock .

15

15

Retained Earnings

31

31

Dividends . .

4

4

Fees Earned

37

40

Wages Expense

12

13

Rent Expense .

4

4

Insurance Expense

0

6

Utilities Expense . .

2

2

Depreciation Expense

0

2

Supplies Expense .

0

1

Miscellaneous Expense

2

2

100

106

106

Journalize the five entries that adjusted the accounts at March 31, 2014. None of the accounts were affected by more than one adjusting entry.