A140/ACG1022 Section 14 Financial Accounting I - Winter 2013 Module 2

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Review the transactions for Smith Construction for the month of June in the Excel Template. The balances from May have been inserted in the T accounts.

Requirements:

  • Journalize the transactions (explanations are not necessary).
  • Post the transactions to the T accounts.
  • Prepare a trial balance as of June 30.
  • 14 years ago
A140/ACG1022 Section 14 Financial Accounting I - Winter 2013 Module 2
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    module_2_assignment.xlsx