The unadjusted trial balance for Smith Constructions and the information needed for the month-end
The unadjusted trial balance for Smith Constructions and the information needed for the month-end adjustments follows.
Insurance coverage remaining at May 31 $1,000
Supplies used during the month $800
Depreciation on the equipment was $2,400
Accrued utilities expense was $200 for the month. This will be paid in June
Accrued wages at May 31 were $1,000
Revenues still unearned at month end were $2,000
Smith Construction
Unadjusted Trial Balance
31-May
Account Debit Credit
10. Cash 47,240
12. Accounts Receivable 8,080
13. Prepaid Insurance 1,500
14. Supplies 1,500
16. Equipment 24,000
............... AND SO ON....................
Required:
1. Prepare the adjusting entries.
2. Prepare the adjusted trial balance.
11 years ago
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- assignment_mod_04_smith_construction_adjusting_trial_bal.xlsx