CENT 1400 Accounting And Financial Management

Answer:
Journal Entries:

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Dr.

Cr.

Date

Particulars

Amount

Amount

 

 

 

 

 

01-01-2015

Cash A/c.

Dr.

$1,00,000

 

 

To,

Common Stock A/c.

 

$1,00,000

 

 

 

 

 

01-01-2015

Cash A/c.

Dr.

$2,20,000

 

 

To,

N/P1 A/c.

 

$2,20,000

 

 

 

 

 

01-01-2015

Equipment 1 A/c.

Dr.

$1,50,000

 

 

Furniture 1 A/c.

Dr.

$1,00,000

 

 

To,

Cash A/c.

 

$2,50,000

 

 

 

 

 

02-01-2015

Rent Expenses A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

02-01-2015

PP-Insurance A/c.

Dr.

$4,800

 

 

To,

Cash A/c.

 

$4,800

 

 

 

 

 

02-01-2015

Equipment 1 A/c.

Dr.

$40,000

 

 

To,

Cash A/c.

 

$10,000

 

To,

A/P A/c.

 

$30,000

 

 

 

 

 

03-01-2015

Inventory A/c.

Dr.

$15,000

 

 

To,

Cash A/c.

 

$15,000

 

 

 

 

 

03-01-2015

Supplies A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

08-01-2015

Cash A/c.

Dr.

$20,000

 

 

CC/R A/c.

Dr.

$5,000

 

 

CGS A/c.

Dr.

$5,000

 

 

To,

Sales Revenue A/c.

 

$25,000

 

To,

Inventory A/c.

 

$5,000

 

 

 

 

 

10-01-2015

A/P A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

12-01-2015

Inventory A/c.

Dr.

$4,000

 

 

To,

A/P A/c.

 

$4,000

 

 

 

 

 

15-01-2015

Cash A/c.

Dr.

$21,000

 

 

A/R A/c.

Dr.

$3,000

 

 

CC/R A/c.

Dr.

$6,000

 

 

CGS A/c.

Dr.

$6,000

 

 

To,

Sales Revenue A/c.

 

$30,000

 

To,

Inventory A/c.

 

$6,000

 

 

 

 

 

15-01-2015

Wages Expenses A/c.

Dr.

$8,000

 

 

To,

Cash A/c.

 

$8,000

 

 

 

 

 

16-01-2015

Cash A/c.

Dr.

$3,000

 

 

To,

CC/R A/c.

 

$3,000

 

 

 

 

 

23-01-2015

Cash A/c.

Dr.

$16,000

 

 

A/R A/c.

Dr.

$2,000

 

 

CC/R A/c.

Dr.

$2,000

 

 

CGS A/c.

Dr.

$4,000

 

 

To,

Sales Revenue A/c.

 

$20,000

 

To,

Inventory A/c.

 

$4,000

 

 

 

 

 

24-01-2015

A/P A/c.

Dr.

$4,000

 

 

To,

Cash A/c.

 

$4,000

 

 

 

 

 

25-01-2015

Inventory A/c.

Dr.

$6,000

 

 

To,

A/P A/c.

 

$6,000

 

 

 

 

 

29-01-2015

Wages Expenses A/c.

Dr.

$7,500

 

 

To,

Cash A/c.

 

$7,500

 

 

 

 

 

29-01-2015

Cash A/c.

Dr.

$2,000

 

 

To,

A/R A/c.

 

$2,000

 

 

 

 

 

29-01-2015

Cash A/c.

Dr.

$4,000

 

 

To,

CC/R A/c.

 

$4,000

 

 

 

 

 

29-01-2015

Cash A/c.

Dr.

$19,600

 

 

A/R A/c.

Dr.

$2,800

 

 

CC/R A/c.

Dr.

$5,600

 

 

CGS A/c.

Dr.

$5,600

 

 

To,

Sales Revenue A/c.

 

$28,000

 

To,

Inventory A/c.

 

$5,600

 

 

 

 

 

29-01-2015

N/P 1 A/c.

Dr.

$2,000

 

 

Interest Expenses A/c.

Dr.

$1,000

 

 

To,

Cash A/c.

 

$3,000

 

 

 

 

 

01-02-2015

Rent Expenses A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

01-02-2015

Cash A/c.

Dr.

$1,60,000

 

 

To,

N/P 2 A/c.

 

$1,60,000

 

 

 

 

 

01-02-2015

Equipment 2 A/c.

Dr.

$1,00,000

 

 

Furniture 2 A/c.

Dr.

$1,00,000

 

 

To,

Cash A/c.

 

$2,00,000

 

 

 

 

 

01-02-2015

Cash A/c.

Dr.

$3,000

 

 

To,

Rental Revenue A/c.

 

$3,000

 

 

 

 

 

02-02-2015

Dividend A/c.

Dr.

$30,000

 

 

To,

Cash A/c.

 

$30,000

 

 

 

 

 

03-02-5015

Cash A/c.

Dr.

$2,000

 

 

To,

CC/R A/c.

 

$2,000

 

 

 

 

 

03-02-2015

Inventory A/c.

Dr.

$25,000

 

 

To,

Cash A/c.

 

$2,000

 

To,

A/P A/c.

 

$23,000

 

 

 

 

 

07-02-2015

Cash A/c.

Dr.

$14,000

 

 

A/R A/c.

Dr.

$2,000

 

 

CC/R A/c.

Dr.

$4,000

 

 

CGS A/c.

Dr.

$4,000

 

 

To,

Sales Revenue A/c.

 

$20,000

 

To,

Inventory A/c.

 

$4,000

 

 

 

 

 

08-02-2015

Utility Expenses A/c.

Dr.

$500

 

 

To,

U/P A/c.

 

$500

 

 

 

 

 

09-02-2015

Cash A/c.

Dr.

$3,000

 

 

To,

A/R A/c.

 

$3,000

 

 

 

 

 

10-02-2015

A/P A/c.

Dr.

$3,000

 

 

To,

Cash A/c.

 

$3,000

 

 

 

 

 

14-02-2015

Cash A/c.

Dr.

$9,000

 

 

A/R A/c.

Dr.

$3,000

 

 

CC/R A/c.

Dr.

$3,000

 

 

CGS A/c.

Dr.

$3,000

 

 

To,

Sales Revenue A/c.

 

$15,000

 

To,

Inventory A/c.

 

$3,000

 

 

 

 

 

14-02-2015

Wages Expenses A/c.

Dr.

$8,000

 

 

To,

Cash A/c.

 

$8,000

 

 

 

 

 

15-02-2015

Cash A/c.

Dr.

$40,000

 

 

To,

Common Stock A/c.

 

$40,000

 

 

 

 

 

16-02-2015

Inventory A/c.

Dr.

$3,000

 

 

To,

Cash A/c.

 

$3,000

 

 

 

 

 

23-02-2015

Cash A/c.

Dr.

$12,000

 

 

A/R A/c.

Dr.

$8,000

 

 

CGS A/c.

Dr.

$4,000

 

 

To,

Sales Revenue A/c.

 

$20,000

 

To,

Inventory A/c.

 

$4,000

 

 

 

 

 

24-02-2015

U/P A/c.

Dr.

$500

 

 

To,

Cash A/c.

 

$500

 

 

 

 

 

25-02-2015

A/P A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

28-02-2015

Cash A/c.

Dr.

$21,000

 

 

A/R A/c.

Dr.

$3,000

 

 

CC/R A/c.

Dr.

$6,000

 

 

CGS A/c.

Dr.

$6,000

 

 

To,

Sales Revenue A/c.

 

$30,000

 

To,

Inventory A/c.

 

$6,000

 

 

 

 

 

28-02-2015

Dividend A/c.

Dr.

$20,000

 

 

To,

Cash A/c.

 

$20,000

 

 

 

 

 

28-02-2015

N/P 1 A/c.

Dr.

$2,000

 

 

Interest Expense A/c.

Dr.

$1,000

 

 

To,

Cash A/c.

 

$3,000

 

 

 

 

 

28-02-2015

Supplies A/c.

Dr.

$2,000

 

 

To,

Cash A/c.

 

$2,000

 

 

 

 

 

28-02-2015

N/P 2 A/c.

Dr.

$2,500

 

 

Interest Expense A/c.

Dr.

$1,000

 

 

To,

Cash A/c.

 

$3,500

 

 

 

 

 

28-02-2015

Insurance Expenses A/c.

Dr.

$800

 

 

To,

PP-Insurance A/c.

 

$800

 

 

 

 

 

28-02-2015

Supply Expenses A/c.

Dr.

$3,500

 

 

To,

Supplies A/c.

 

$3,500

 

 

 

 

 

28-02-2015

Dep-Exp Equipment 1 A/c.

Dr.

$500

 

 

Dep-Exp Equipment 2 A/c.

Dr.

$300

 

 

Dep-Exp Furniture 1 A/c.

Dr.

$300

 

 

Dep-Exp Furniture 2 A/c.

Dr.

$200

 

 

To,

ACC-DEP Equipment 1 A/c.

 

$500

 

To,

ACC-DEP Equipment 2 A/c.

 

$300

 

To,

ACC-DEP Furniture 1 A/c.

 

$300

 

To,

ACC-DEP Furniture 2 A/c.

 

$200

 

 

 

 

 

28-02-2015

Sales Revenue A/c.

Dr.

$1,88,000

 

 

Rental Revenue A/c.

Dr.

$3,000

 

 

To,

PL Adjustment A/c.

 

$1,91,000

 

 

 

 

 

28-02-2015

PL Adjustment A/c.

Dr.

$74,200

 

 

To,

CGS A/c.

 

$37,600

 

To,

Rent Expenses A/c.

 

$4,000

 

To,

Supply Expenses A/c.

 

$3,500

 

To,

Insuarnce Expenses A/c.

 

$800

 

To,

Wages Expenses A/c.

 

$23,500

 

To,

Utility Expenses A/c.

 

$500

 

To,

Dep-Exp Equipment 1 A/c.

 

$500

 

To,

Dep-Exp Equipment 2 A/c.

 

$300

 

To,

Dep-Exp Furniture 1 A/c.

 

$300

 

To,

Dep-Exp Furniture 2 A/c.

 

$200

 

To,

Interest Expenses A/c.

 

$3,000

 

 

 

 

 

28-02-2015

PL Adjustment A/c.

Dr.

$1,16,800

 

 

To,

RE A/c.

 

$66,800

 

To,

Dividend A/c.

 

$50,000

 

Ledgers:

 

 

 

 

 

 

Cash A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-01-2015

Common Stock A/c.

100000

 

100000

DR.

01-01-2015

N/P 1 A/c.

220000

 

320000

DR.

01-01-2015

Equipment 1 A/c.

 

150000

170000

DR.

 

Furniture 1 A/c.

 

100000

70000

DR.

02-01-2015

Rent Expenses A/c.

 

2000

68000

DR.

02-01-2015

PP-Insurance A/c.

 

4800

63200

DR.

02-01-2015

Equipment 1 A/c.

 

10000

53200

DR.

03-01-2015

Inventory A/c.

 

15000

38200

DR.

03-01-2015

Supplies A/c.

 

2000

36200

DR.

08-01-2015

Sales Revenue A/c.

20000

 

56200

DR.

10-01-2015

A/P A/c.

 

2000

54200

DR.

15-01-2015

Sales Revenue A/c.

21000

 

75200

DR.

15-01-2015

Wages Expenses A/c.

 

8000

67200

DR.

16-01-2015

CC/R A/c.

3000

 

70200

DR.

23-01-2015

Sales Revenue A/c.

16000

 

86200

DR.

24-01-2015

A/P A/c.

 

4000

82200

DR.

29-01-2015

Wages Expenses A/c.

 

7500

74700

DR.

29-01-2015

A/R A/c.

2000

 

76700

DR.

29-01-2015

CC/R A/c.

4000

 

80700

DR.

29-01-2015

Sales Revenue A/c.

19600

 

100300

DR.

29-01-2015

N/P 1 A/c.

 

2000

98300

DR.

 

Interest Expenses A/c.

 

1000

97300

DR.

31-01-2015

Closing Balance

 

 

97300

DR.

01-02-2015

Rent Expenses A/c.

 

2000

95300

DR.

01-02-2015

N/P 2 A/c.

160000

 

255300

DR.

01-02-2015

Equipment 2 A/c.

 

100000

155300

DR.

 

Furniture 2 A/c.

 

100000

55300

DR.

01-02-2015

Rental Revenue A/c.

3000

 

58300

DR.

02-02-2015

Dividend A/c.

 

30000

28300

DR.

03-02-2015

CC/R A/c.

2000

 

30300

DR.

03-02-2015

Inventory A/c.

 

2000

28300

DR.

07-02-2015

Sales Revenue A/c.

14000

 

42300

DR.

09-02-2015

A/R A/c.

3000

 

45300

DR.

10-02-2015

A/P A/c.

 

3000

42300

DR.

14-02-2015

Sales Revenue A/c.

9000

 

51300

DR.

14-02-2015

Wages Expenses A/c.

 

8000

43300

DR.

15-02-2015

Common Stock A/c.

40000

 

83300

DR.

16-02-2015

Inventory A/c.

 

3000

80300

DR.

23-02-2015

Sales Revenue A/c.

12000

 

92300

DR.

24-02-2015

U/P A/c.

 

500

91800

DR.

25-02-2015

A/P A/c.

 

2000

89800

DR.

28-02-2015

Sales Revenue A/c.

21000

 

110800

DR.

28-02-2015

Dividend A/c.

 

20000

90800

DR.

28-02-2015

N/P 1 A/c.

 

2000

88800

DR.

 

Interest Expense A/c.

 

1000

87800

DR.

28-02-2015

Supplies A/c.

 

2000

85800

DR.

28-02-2015

N/P 2 A/c.

 

2500

83300

DR.

 

Interest Expense A/c.

 

1000

82300

DR.

28-02-2015

Closing Balance

 

 

82300

DR.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

A/R A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

15-01-2015

Sales Revenue A/c.

3000

 

3000

DR.

23-01-2015

Sales Revenue A/c.

2000

 

5000

DR.

29-01-2015

Cash A/c.

 

2000

3000

DR.

29-01-2015

Sales Revenue A/c.

2800

 

5800

DR.

30-01-2015

Closing Balance

 

 

5800

DR.

07-02-2015

Sales Revenue A/c.

2000

 

7800

DR.

09-02-2015

Cash A/c.

 

3000

4800

DR.

14-02-2015

Sales Revenue A/c.

3000

 

7800

DR.

23-02-2015

Sales Revenue A/c.

8000

 

15800

DR.

28-02-2015

Sales Revenue A/c.

3000

 

18800

DR.

28-02-2015

Closing Balance

 

 

18800

DR.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CC/R A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

08-01-2015

Sales Revenue A/c.

5000

 

5000

DR.

15-01-2015

Sales Revenue A/c.

6000

 

11000

DR.

16-01-2015

Cash A/c.

 

3000

8000

DR.

23-01-2015

Sales Revenue A/c.

2000

 

10000

DR.

29-01-2015

Cash A/c.

 

4000

6000

DR.

29-01-2015

Sales Revenue A/c.

5600

 

11600

DR.

30-01-2015

Closing Balance

 

 

11600

DR.

03-02-2015

Cash A/c.

 

2000

9600

DR.

07-02-2015

Sales Revenue A/c.

4000

 

13600

DR.

14-02-2015

Sales Revenue A/c.

3000

 

16600

DR.

28-02-2015

Sales Revenue A/c.

6000

 

22600

DR.

28-02-2015

Closing Balance

 

 

22600

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Inventory A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

03-01-2015

Cash A/c.

15000

 

15000

DR.

08-01-2015

CGS A/c.

 

5000

10000

DR.

12-01-2015

A/P A/c.

4000

 

14000

DR.

15-01-2015

CGS A/c.

 

6000

8000

DR.

23-01-2015

CGS A/c.

 

4000

4000

DR.

25-01-2015

A/P A/c.

6000

 

10000

DR.

29-01-2015

CGS A/c.

 

5600

4400

DR.

30-01-2015

Closing Balance

 

 

4400

DR.

03-02-2015

Cash A/c.

2000

 

6400

DR.

 

A/P A/c.

23000

 

29400

DR.

07-02-2015

CGS A/c.

 

4000

25400

DR.

14-02-2015

CGS A/c.

 

3000

22400

DR.

16-02-2015

Cash A/c.

3000

 

25400

DR.

24-02-2015

CGS A/c.

 

4000

21400

DR.

28-02-2015

CGS A/c.

 

6000

15400

DR.

28-02-2015

Closing Balance

 

 

15400

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Supplies A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

03-01-2015

Cash A/c.

2000

 

2000

DR.

30-01-2015

Closing Balance

 

 

2000

DR.

28-02-2015

Cash A/c.

2000

 

4000

DR.

28-02-2015

Supply Expenses A/c.

 

3500

500

DR.

28-02-2015

Closing Balance

 

 

500

DR.

 

 

 

 

 

 

 

 

 

 

 

 

PP-Insurance A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

02-01-2015

Cash A/c.

4800

 

4800

DR.

30-01-2015

Closing Balance

 

 

4800

DR.

28-02-2015

Insurance Expenses A/c.

 

800

4000

DR.

28-02-2015

Closing Balance

 

 

4000

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Equipment 1 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-01-2015

Cash A/c.

150000

 

150000

DR.

02-01-2015

Cash A/c.

10000

 

160000

DR.

 

A/P A/c.

30000

 

190000

DR.

30-01-2015

Closing Balance

 

 

190000

DR.

 

 

 

 

 

 

Equipment 2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-02-2015

Cash A/c.

100000

 

100000

DR.

28-02-2015

Closing Balance

 

 

100000

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Furniture 1 A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-01-2015

Cash A/c.

100000

 

100000

DR.

30-01-2015

Closing Balance

 

 

100000

DR.

28-02-2015

Closing Balance

 

 

100000

DR.

 

 

 

 

 

 

Furniture 2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-02-2015

Furniture 2 A/c.

100000

 

100000

DR.

28-02-2015

Closing Balance

 

 

100000

DR.

 

 

 

 

 

 

A/P A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

02-01-2015

Equipment 1 A/c.

 

30000

30000

CR.

10-01-2015

Cash A/c.

2000

 

28000

CR.

12-01-2015

Inventory A/c.

 

4000

32000

CR.

24-01-2015

Cash A/c.

4000

 

28000

CR.

25-01-2015

Inventory A/c.

 

6000

34000

CR.

30-01-2015

Closing Balance

 

 

34000

CR.

03-02-2015

Inventory A/c.

 

23000

57000

CR.

10-02-2015

Cash A/c.

3000

 

54000

CR.

25-02-2015

Cash A/c.

2000

 

52000

CR.

28-02-2015

Closing Balance

 

 

52000

CR.

 

 

 

 

 

 

 

 

 

 

 

 

U/P A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

08-02-2015

Utility Expenses A/c.

 

500

500

CR.

24-02-2015

Cash A/c.

500

 

0

CR.

28-02-2015

Closing Balance

 

 

0

CR.

 

 

 

 

 

 

 

 

 

 

 

 

N/P 1 A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-01-2015

Cash A/c.

 

220000

220000

CR.

29-01-2015

Cash A/c.

2000

 

218000

CR.

30-01-2015

Closing Balance

 

 

218000

CR.

28-02-2015

Cash A/c.

2000

 

216000

CR.

28-02-2015

Closing Balance

 

 

216000

CR.

 

 

 

 

 

 

N/P 2 A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-02-2015

Cash A/c.

 

160000

160000

CR.

28-02-2015

Cash A/c.

2500

 

157500

CR.

28-02-2015

Closing Balance

 

 

157500

CR.

 

 

 

 

 

 

 

 

 

 

 

 

ACC-DEP Equipment- 1 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Dep-Exp Equipment 1 A/c.

 

500

500

CR.

28-02-2015

Closing Balance

 

 

500

CR.

 

 

 

 

 

 

 

 

 

 

 

 

ACC-DEP Equipment- 2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Dep-Exp Equipment 2 A/c.

 

300

300

CR.

28-02-2015

Closing Balance

 

 

300

CR.

 

 

 

 

 

 

 

 

 

 

 

 

ACC-DEP Furniture- 1 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Dep-Exp Furniture 1 A/c.

 

300

300

CR.

28-02-2015

Closing Balance

 

 

300

CR.

 

 

 

 

 

 

 

 

 

 

 

 

ACC-DEP Furniture- 2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Dep-Exp Furniture 2 A/c.

 

200

200

CR.

28-02-2015

Closing Balance

 

 

200

CR.

 

 

 

 

 

 

 

 

 

 

 

 

Common Stock A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-01-2015

Cash A/c.

 

100000

100000

CR.

31-01-2015

Closing Balance

 

 

100000

CR.

15-02-2015

Cash A/c.

 

40000

140000

CR.

28-02-2015

Closing Balance

 

 

140000

CR.

 

 

 

 

 

 

PL Adjustment A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Sales Revenue A/c.

 

188000

188000

CR.

 

Rental Revenue A/c.

 

3000

191000

CR.

28-02-2015

CGS A/c.

37600

 

153400

CR.

 

Rent Expenses A/c.

4000

 

149400

CR.

 

Supply Expenses A/c.

3500

 

145900

CR.

 

Insuarnce Expenses A/c.

800

 

145100

CR.

 

Wages Expenses A/c.

23500

 

121600

CR.

 

Utility Expenses A/c.

500

 

121100

CR.

 

Dep-Exp Equipment 1 A/c.

500

 

120600

CR.

 

Dep-Exp Equipment 2 A/c.

300

 

120300

CR.

 

Dep-Exp Furniture 1 A/c.

300

 

120000

CR.

 

Dep-Exp Furniture 2 A/c.

200

 

119800

CR.

 

Interest Expenses A/c.

3000

 

116800

CR.

28-02-2015

RE A/c.

116800

 

0

CR.

28-02-2015

Closing Balance

 

 

0

CR.

 

 

 

 

 

 

 

 

 

 

 

 

Dividend A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

02-02-2015

Cash A/c.

30000

 

30000

DR.

28-02-2015

Cash A/c.

20000

 

50000

DR.

28-02-2015

RE A/c.

 

50000

0

DR.

28-02-2015

Closing Balance

 

 

0

DR.

 

 

 

 

 

 

 

 

 

 

 

 

RE A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

PL Adjustment A/c.

 

116800

116800

CR.

 

Dividend A/c.

50000

 

66800

CR.

28-02-2015

Closing Balance

 

 

66800

CR.

 

 

 

 

 

 

 

 

 

 

 

 

Sales Revenue A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

08-01-2015

Cash A/c.

 

20000

20000

CR.

 

CC/R A/c.

 

5000

25000

CR.

15-01-2015

Cash A/c.

 

21000

46000

CR.

 

A/R A/c.

 

3000

49000

CR.

 

CC/R A/c.

 

6000

55000

CR.

23-01-2015

Cash A/c.

 

16000

71000

CR.

 

A/R A/c.

 

2000

73000

CR.

 

CC/R A/c.

 

2000

75000

CR.

29-01-2015

Cash A/c.

 

19600

94600

CR.

 

A/R A/c.

 

2800

97400

CR.

 

CC/R A/c.

 

5600

103000

CR.

31-01-2015

Closing Balance

 

 

103000

CR.

07-02-2015

Cash A/c.

 

14000

117000

CR.

 

A/R A/c.

 

2000

119000

CR.

 

CC/R A/c.

 

4000

123000

CR.

14-02-2015

Cash A/c.

 

9000

132000

CR.

 

A/R A/c.

 

3000

135000

CR.

 

CC/R A/c.

 

3000

138000

CR.

23-02-2015

Cash A/c.

 

12000

150000

CR.

 

A/R A/c.

 

8000

158000

CR.

28-02-2015

Cash A/c.

 

21000

179000

CR.

 

A/R A/c.

 

3000

182000

CR.

 

CC/R A/c.

 

6000

188000

CR.

28-02-2015

Closing Balance

 

 

188000

CR.

 

 

 

 

 

 

 

 

 

 

 

 

Rental Revenue A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

01-02-2015

Cash A/c.

 

3000

3000

CR.

28-02-2015

Closing Balance

 

 

3000

CR.

 

 

 

 

 

 

 

 

 

 

 

 

CGS A/c.

 

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

08-01-2015

Inventory A/c.

5000

 

5000

DR.

15-01-2015

Inventory A/c.

6000

 

11000

DR.

23-01-2015

Inventory A/c.

4000

 

15000

DR.

29-01-2015

Inventory A/c.

5600

 

20600

DR.

31-01-2015

Closing Balance

 

 

20600

DR.

07-02-2015

Inventory A/c.

4000

 

24600

DR.

14-02-2015

Inventory A/c.

3000

 

27600

DR.

24-02-2015

Inventory A/c.

4000

 

31600

DR.

28-02-2015

Inventory A/c.

6000

 

37600

DR.

28-02-2015

Closing Balance

 

 

37600

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Rent Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

02-01-2015

Cash A/c.

2000

 

2000

DR.

31-01-2015

Closing Balance

 

 

2000

DR.

01-02-2015

Rent Expenses A/c.

2000

 

4000

DR.

28-02-2015

Closing Balance

 

 

4000

DR.

 

 

 

 

 

 

Supply Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

Supplies A/c.

3500

 

3500

DR.

28-02-2015

Closing Balance

 

 

3500

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Insurance Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

PP-Insurance A/c.

800

 

800

DR.

28-02-2015

Closing Balance

 

 

800

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Wages Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

15-01-2015

Cash A/c.

8000

 

8000

DR.

29-01-2015

Cash A/c.

7500

 

15500

DR.

31-01-2015

Closing Balance

 

 

15500

DR.

14-02-2015

Cash A/c.

8000

 

23500

DR.

28-02-2015

Closing Balance

 

 

23500

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Utility Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

08-02-2015

U/P A/c.

500

 

500

DR.

28-02-2015

Closing Balance

 

 

500

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Dep-Exp Equipment -1 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

ACC-DEP Equipment 1 A/c.

500

 

500

DR.

28-02-2015

Closing Balance

 

 

500

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Dep-Exp Equipment -2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

ACC-DEP Equipment 2 A/c.

300

 

300

DR.

28-02-2015

Closing Balance

 

 

300

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Dep-Exp Furniture -1 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

ACC-DEP Furniture 1 A/c.

300

 

300

DR.

28-02-2015

Closing Balance

 

 

300

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Dep-Exp Furniture -2 A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

28-02-2015

ACC-DEP Furniture 2 A/c.

200

 

200

DR.

28-02-2015

Closing Balance

 

 

200

DR.

 

 

 

 

 

 

 

 

 

 

 

 

Interest Expenses A/c.

Dr.

Cr.

 

 

Date

Particulars

Amount

Amount

Balance

 

 

 

 

 

 

 

29-01-2015

Cash A/c.

1000

 

1000

DR.

31-01-2015

Closing Balance

 

 

1000

DR.

28-02-2015

Cash A/c.

1000

 

2000

DR.

28-02-2015

Cash A/c.

1000

 

3000

DR.

28-02-2015

Closing Balance

 

 

3000

DR.

Trial Balance for January:

Trial Balance

as on 31 Jan 2015

 

Dr.

Cr.

Particulars

Amount

Amount

 

 

 

Cash

$97,300

 

A/R

$5,800

 

CC/R

$11,600

 

Inventory

$4,400

 

Supplies

$2,000

 

PP-Insurance

$4,800

 

Equipment-1

$1,90,000

 

Equipment-2

$0

 

Furniture-1

$1,00,000

 

Furniture-2

$0

 

A/P

 

$34,000

U/P

 

$0

N/P 1

 

$2,18,000

N/P 2

 

$0

ACC-DEP Equipment 1

 

$0

ACC-DEP Equipment 2

 

$0

ACC-DEP Furniture 1

 

$0

ACC-DEP Furniture 2

 

$0

Common Stock

 

$1,00,000

RE

 

$0

Dividend

 

$0

Sales Revenue

 

$1,03,000

Rental Revenue

 

$0

CGS

$20,600

 

Rent Expenses

$2,000

 

Supply Expense

$0

 

Insurance Expense

$0

 

Wages Expense

$15,500

 

Utility Expense

$0

 

Dep-Exp Equipment 1

$0

 

Dep-Exp Equipment 2

$0

 

Dep-Exp Furniture 1

$0

 

Dep-Exp Furniture 2

$0

 

Interest Expense

$1,000

 

 

 

 

TOTAL

$4,55,000

$4,55,000

Unadjusted Trial Balance for February:

Unadjusted Trial Balance

as on 28 Feb 2015

 

Dr.

Cr.

Particulars

Amount

Amount

 

 

 

Cash

$82,300

 

A/R

$18,800

 

CC/R

$22,600

 

Inventory

$15,400

 

Supplies

$4,000

 

PP-Insurance

$4,800

 

Equipment-1

$1,90,000

 

Equipment-2

$1,00,000

 

Furniture-1

$1,00,000

 

Furniture-2

$1,00,000

 

A/P

 

$52,000

U/P

 

$0

N/P 1

 

$2,16,000

N/P 2

 

$1,57,500

ACC-DEP Equipment 1

 

$0

ACC-DEP Equipment 2

 

$0

ACC-DEP Furniture 1

 

$0

ACC-DEP Furniture 2

 

$0

Common Stock

 

$1,40,000

RE

 

$0

Dividend

$50,000

 

Sales Revenue

 

$1,88,000

Rental Revenue

 

$3,000

CGS

$37,600

 

Rent Expenses

$4,000

 

Supply Expense

$0

 

Insurance Expense

$0

 

Wages Expense

$23,500

 

Utility Expense

$500

 

Dep-Exp Equipment 1

$0

 

Dep-Exp Equipment 2

$0

 

Dep-Exp Furniture 1

$0

 

Dep-Exp Furniture 2

$0

 

Interest Expense

$3,000

 

 

 

 

TOTAL

$7,56,500

$7,56,500

 

Adjusted Trial Balance for February:

Adjusted Trial Balance

as on 28 Feb 2015

 

Dr.

Cr.

Particulars

Amount

Amount

 

 

 

Cash

$82,300

 

A/R

$18,800

 

CC/R

$22,600

 

Inventory

$15,400

 

Supplies

$500

 

PP-Insurance

$4,000

 

Equipment-1

$1,90,000

 

Equipment-2

$1,00,000

 

Furniture-1

$1,00,000

 

Furniture-2

$1,00,000

 

A/P

 

$52,000

U/P

 

$0

N/P 1

 

$2,16,000

N/P 2

 

$1,57,500

ACC-DEP Equipment 1

 

$500

ACC-DEP Equipment 2

 

$300

ACC-DEP Furniture 1

 

$300

ACC-DEP Furniture 2

 

$200

Common Stock

 

$1,40,000

RE

 

$0

Dividend

$50,000

 

Sales Revenue

 

$1,88,000

Rental Revenue

 

$3,000

CGS

$37,600

 

Rent Expenses

$4,000

 

Supply Expense

$3,500

 

Insurance Expense

$800

 

Wages Expense

$23,500

 

Utility Expense

$500

 

Dep-Exp Equipment 1

$500

 

Dep-Exp Equipment 2

$300

 

Dep-Exp Furniture 1

$300

 

Dep-Exp Furniture 2

$200

 

Interest Expense

$3,000

 

 

 

 

TOTAL

$7,57,800

$7,57,800

Income Statement:

Income Statement

for the period ending 28 Feb 2015

 

 

Particulars

Amount

 

 

Sales Revenue

$1,88,000

Rental Revenue

$3,000

TOTAL REVENUE

$1,91,000

CGS

-$37,600

GROSS PROFIT

$1,53,400

 

 

Operating Expenses:

 

Rent Expenses

-$4,000

Supply Expense

-$3,500

Insurance Expense

-$800

Wages Expense

-$23,500

Utility Expense

-$500

Dep-Exp Equipment 1

-$500

Dep-Exp Equipment 2

-$300

Dep-Exp Furniture 1

-$300

Dep-Exp Furniture 2

-$200

TOTAL OPERATING EXPENSES

-$33,600

 

 

NET OPERATING PROFIT

$1,19,800

Interest Expense

-$3,000

NET PROFIT

$1,16,800

RE Statement:

RE Statement

for the period ending 28 Feb 2015

 

 

Particulars

Amount

 

 

Opening Balance of RE

$0

Add: Net profit for the period

$1,16,800

 

$1,16,800

Less: Dividend

-$50,000

Closing Balance of RE

$66,800

Balance Sheet:

Balance Sheet

as on 28 Feb 2015

 

 

Particulars

Amount

 

 

Current Assets:

 

Cash

$82,300

A/R

$18,800

CC/R

$22,600

Inventory

$15,400

Supplies

$500

PP-Insurance

$4,000

TOTAL CURRENT ASSETS

$1,43,600

 

 

Non-Current Assets:

 

Equipment-1

$1,90,000

ACC-DEP Equipment 1

-$500

Equipment-2

$1,00,000

ACC-DEP Equipment 2

-$300

Furniture-1

$1,00,000

ACC-DEP Furniture 1

-$300

Furniture-2

$1,00,000

ACC-DEP Furniture 2

-$200

TOTAL NON-CURRENT ASSETS

$4,88,700

 

 

TOTAL ASSETS

$6,32,300

 

 

Current Liabilities:

 

A/P

$52,000

U/P

$0

TOTAL CURRENT LIABILITIES

$52,000

 

 

Non-Current Liabilities:

 

N/P 1

$2,16,000

N/P 2

$1,57,500

TOTAL NON-CURRENT LIABILITIES

$3,73,500

 

 

TOTAL LIABILITIES

$4,25,500

 

 

Equity Capital:

 

Common Stock

$1,40,000

RE

$66,800

TOTAL EQUITY CAPITAL

$2,06,800

 

 

TOTAL EQUITY & LIABILITIES

$6,32,300

Post-Closing Trial Balance:

Post-Closing Trial Balance

as on 28 Feb 2015

 

Dr.

Cr.

Particulars

Amount

Amount

 

 

 

Cash

$82,300

 

A/R

$18,800

 

CC/R

$22,600

 

Inventory

$15,400

 

Supplies

$500

 

PP-Insurance

$4,000

 

Equipment-1

$1,90,000

 

Equipment-2

$1,00,000

 

Furniture-1

$1,00,000

 

Furniture-2

$1,00,000

 

A/P

 

$52,000

U/P

 

$0

N/P 1

 

$2,16,000

N/P 2

 

$1,57,500

ACC-DEP Equipment 1

 

$500

ACC-DEP Equipment 2

 

$300

ACC-DEP Furniture 1

 

$300

ACC-DEP Furniture 2

 

$200

Common Stock

 

$1,40,000

RE

 

$66,800

Dividend

$0

 

Sales Revenue

 

$0

Rental Revenue

 

$0

CGS

$0

 

Rent Expenses

$0

 

Supply Expense

$0

 

Insurance Expense

$0

 

Wages Expense

$0

 

Utility Expense

$0

 

Dep-Exp Equipment 1

$0

 

Dep-Exp Equipment 2

$0

 

Dep-Exp Furniture 1

$0

 

Dep-Exp Furniture 2

$0

 

Interest Expense

$0

 

 

 

 

TOTAL

$6,33,600

$6,33,600

Bibliography:

Deegan, C., 2012. Australian financial accounting. McGraw-Hill Education Australia

Hoyle, J.B., Schaefer, T. and Doupnik, T., 2015. Advanced accounting. McGraw Hill

Mueller, G.G. and Gernon, H., 1997. Accounting: an international perspective. Irwin Professional Publishing.

Schroeder, R.G., Clark, M.W. and Cathey, J.M., 2011. Financial accounting theory and analysis: text and cases. John Wiley and Sons

Scott, W.R., 2015. Financial accounting theory (Vol. 2, No. 0, p. 0). Prentice Hall.

Warren, C.S. and Jones, J., 2018. Corporate financial accounting. Cengage Learning

Williams, J., 2014. Financial accounting. McGraw-Hill Higher Education.

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