The accounts in the ledger of Thornton Delivery Service contain the following balances on July 31, 2010.

Accounts Receivable

$13,400

Prepaid Insurance

$ 1,800

Accounts Payable

8,400

Repair Expense

1,200

Cash

?

Service Revenue

15,500

Delivery Equipment

59,360

Dividends

700

Gas and Oil Expense

758

Common Stock

40,000

Insurance Expense

600

Salaries Expense

7,428

Notes Payable, due 2013

28,450

Salaries Payable

900

Retained Earnings
(July 1, 2010)

5,200

Instructions

(a) Prepare a trial balance with the accounts arranged as illustrated in the chapter, and fill in the missing amount for Cash.

(b) Prepare an income statement, a retained earnings statement, and a classified balance sheet for the month of July 2010.