| | Question 1 Mike Greenberg opened Clean Window Washing Inc. on July 1, 2014. During July, the following transactions were completed. July 1 | | Issued 13,740 shares of common stock for $13,740 cash. | 1 | | Purchased used truck for $9,740, paying $2,069 cash and the balance on account. | 3 | | Purchased cleaning supplies for $932 on account. | 5 | | Paid $2,040 cash on a 1-year insurance policy effective July 1. | 12 | | Billed customers $4,870 for cleaning services. | 18 | | Paid $1,100 cash on amount owed on truck and $535 on amount owed on cleaning supplies. | 20 | | Paid $2,064 cash for employee salaries. | 21 | | Collected $1,674 cash from customers billed on July 12. | 25 | | Billed customers $2,602 for cleaning services. | 31 | | Paid $369 for maintenance of the truck during month. | 31 | | Declared and paid $635 cash dividend. | | |
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| | Journalize the July transactions. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.) Date | Account Titles and Explanation | Debit | Credit | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | |
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| | Post to the ledger accounts. (Post entries in the order of journal entries presented in the previous question.) Cash | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Accounts Receivable | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Supplies | | | [removed] | | [removed] | | | [removed] | | [removed] | Prepaid Insurance | | | [removed] | | [removed] | | | [removed] | | [removed] | Equipment | | | [removed] | | [removed] | | | [removed] | | [removed] | Accounts Payable | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Common Stock | | | [removed] | | [removed] | | | [removed] | | [removed] | Dividends | | | [removed] | | [removed] | | | [removed] | | [removed] | Service Revenue | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Maintenance and Repairs Expense | | | [removed] | | [removed] | | | [removed] | | [removed] | Salaries and Wages Expense | | | [removed] | | [removed] | | | [removed] | | [removed] | | |
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| | Prepare a trial balance at July 31. CLEAN WINDOW WASHING INC. Trial Balance July 31, 2014 | | | Debit | Credit | [removed] | $[removed] | $[removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | | | $[removed] | $[removed] | | |
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| | Journalize the following adjustments. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.) (1) | | Services performed but unbilled and uncollected at July 31 were $1,755. | (2) | | Depreciation on equipment for the month was $208. | (3) | | One-twelfth of the insurance expired. | (4) | | An inventory count shows $320 of cleaning supplies on hand at July 31. | (5) | | Accrued but unpaid employee salaries were $447. |
No. | Account Titles and Explanation | Debit | Credit | 1. | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | 2. | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | 3. | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | 4. | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | 5. | [removed] | [removed] | [removed] | | | [removed] | [removed] | [removed] | | |
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| | Post adjusting entries to the T-accounts. Cash | 7/1 | 13,740 | 7/1 | 2,069 | 7/21 | 1,674 | 7/5 | 2,040 | | | | 7/18 | 1,635 | | | | 7/20 | 2,064 | | | | 7/31 | 369 | | | | 7/31 | 635 | 7/31 Bal. | 6,602 | | | Accounts Receivable | 7/12 | 4,870 | 7/21 | 1,674 | 7/25 | 2,602 | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Supplies | 7/3 | 932 | | [removed] | | | [removed] | | [removed] | Prepaid Insurance | 7/5 | 2,040 | | [removed] | | | [removed] | | [removed] | Equipment | 7/1 | 9,740 | | | 7/31 Bal. | 9,740 | | | Accumulated Depreciation-Equipment | | | [removed] | | [removed] | | | [removed] | | [removed] | Accounts Payable | 7/18 | 1,635 | 7/1 | 7,671 | | | | 7/3 | 932 | | | | 7/31 Bal. | 6,968 | Salaries and Wages Payable | | | [removed] | | [removed] | | | [removed] | | [removed] | Common Stock | | | | 7/1 | 13,740 | | | | 7/31 Bal. | 13,740 | Dividends | 7/31 | 635 | | | 7/31 Bal. | 635 | | | Service Revenue | | | [removed] | 7/12 | 4,870 | | | [removed] | 7/25 | 2,602 | | | [removed] | | [removed] | | | [removed] | | [removed] | Maintenance and Repairs Expense | 7/31 | 369 | | | 7/31 Bal. | 369 | | | Supplies Expense | | | [removed] | | [removed] | | | [removed] | | [removed] | Depreciation Expense | | | [removed] | | [removed] | | | [removed] | | [removed] | Insurance Expense | | | [removed] | | [removed] | | | [removed] | | [removed] | Salaries and Wages Expense | 7/20 | 2,064 | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | | |
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| | Prepare an adjusted trial balance. CLEAN WINDOW WASHING INC. Trial Balance July 31, 2014 | | | Debit | Credit | [removed] | $[removed] | $[removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | | | $[removed] | $[removed] | | |
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| | Prepare the income statement for July. CLEAN WINDOW WASHING INC. Income Statement For the Month Ended July 31, 2014 | | | | | [removed] | | $[removed] | | | | | [removed] | $[removed] | | [removed] | [removed] | | [removed] | [removed] | | [removed] | [removed] | | [removed] | [removed] | | | | | [removed] | | | | $[removed] | | |
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| | Prepare a retained earnings statement for July. (List items that increase retained earnings first.) CLEAN WINDOW WASHING INC. Retained Earnings Statement For the Month Ended July 31, 2014 | | | $[removed] | : | [removed] | | | [removed] | : | [removed] | | | $[removed] | | |
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| | Prepare a classified balance sheet at July 31. (List current assets in order of liquidity.) CLEAN WINDOW WASHING INC. Balance Sheet July 31, 2014 | Assets | | | | | | | | | [removed] | | | $[removed] | | | | [removed] | | | [removed] | | | | [removed] | | | [removed] | | | | [removed] | | | [removed] | | | | | | | | | | $[removed] | | | | | | | | | | [removed] | | | [removed] | | | | : [removed] | | | [removed] | | [removed] | | | | | | | | $[removed] | | Liabilities and Stockholders' Equity | | | | | | | | | [removed] | | | $[removed] | | | | [removed] | | | [removed] | | | | | | | | | | $[removed] | | | | | | | | | | [removed] | | | [removed] | | | | [removed] | | | [removed] | | | | | | | | | | [removed] | | | | | | | | $[removed] | | | |
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| | Journalize closing entries. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.) Account Titles and Explanation | Debit | Credit | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | (To close revenue account) | | | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | (To close expense accounts) | | | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | (To close net income / (loss)) | | | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | (To close dividends) | | | | |
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| | Post closing entries and complete the closing process. Cash | 7/1 | 13,740 | 7/1 | 2,069 | 7/21 | 1,674 | 7/5 | 2,040 | | | | 7/18 | 1,635 | | | | 7/20 | 2,064 | | | | 7/31 | 369 | | | | 7/31 | 635 | 7/31 Bal. | 6,602 | | | Accounts Receivable | 7/12 | 4,870 | 7/21 | 1,674 | 7/25 | 2,602 | | | 7/31 | 1,755 | | | 7/31 Bal. | 7,553 | | | Supplies | 7/3 | 932 | 7/31 | 612 | 7/31 Bal. | 320 | | | Prepaid Insurance | 7/5 | 2,040 | 7/31 | 170 | 7/31 Bal. | 1,870 | | | Equipment | 7/1 | 9,740 | | | 7/31 Bal. | 9,740 | | | Accumulated Depreciation-Equipment | | | | 7/31 | 208 | | | | 7/31 Bal. | 208 | Accounts Payable | 7/18 | 1,635 | 7/1 | 7,671 | | | | 7/3 | 932 | | | | 7/31 Bal. | 6,968 | Salaries and Wages Payable | | | | 7/31 | 447 | | | | 7/31 Bal. | 447 | Common Stock | | | | 7/1 | 13,740 | | | | 7/31 Bal. | 13,740 | Retained Earnings | | | [removed] | | [removed] | | | [removed] | | [removed] | Dividends | 7/31 | 635 | | [removed] | | | [removed] | | [removed] | Income Summary | | | [removed] | | [removed] | | | [removed] | | [removed] | | | [removed] | | [removed] | Service Revenue | | | [removed] | 7/12 | 4,870 | | | [removed] | 7/25 | 2,602 | | | [removed] | 7/31 | 1,755 | | | [removed] | | [removed] | Maintenance and Repairs Expense | 7/31 | 369 | | [removed] | | | [removed] | | [removed] | Supplies Expense | 7/31 | 612 | | [removed] | | | [removed] | | [removed] | Depreciation Expense | 7/31 | 208 | | [removed] | | | [removed] | | [removed] | Insurance Expense | 7/31 | 170 | | [removed] | | | [removed] | | [removed] | Salaries and Wages Expense | 7/20 | 2,064 | | [removed] | 7/31 | 447 | | [removed] | | | [removed] | | [removed] | | |
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| | Prepare a post-closing trial balance at July 31. CLEAN WINDOW WASHING INC. Post-Closing Trial Balance July 31, 2014 | | | Debit | Credit | [removed] | $[removed] | $[removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | [removed] | | | $[removed] | $[removed] | | |
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