Try another version of this question Post the appropriate entries from JDC Engineering transactions to a General Ledger. For "Post Ref." enter J1. Date Description Debit Credit January 1 Cash 11,000 January 1 Joe Coors, Capital 11,000 January 5 Utilities Expense 530 January 5 Cash 530 January 6 Equipment 2,300 January 6 Accounts Payable 2,300 January 10 Accounts Receivable 3,100 January 10 Service Revenue 3,100 January 14 Cash 6,200 January 14 Notes Payable 6,200 January 18 Joe Coors, Drawing 770 January 18 Cash 770 January 22 Office Supplies 925 January 22 Cash 925 January 27 Accounts Payable 2,300 January 27 Cash 2,300 Cash Account No. 110 Balance Date: January Item Post Ref. Debit Credit Debit Credit Accounts Receivable Account No. 120 Balance Date: January Item Post Ref. Debit Credit Debit Credit Office Supplies Account No. 130 Balance Date: January Item Post Ref. Debit Credit Debit Credit Equipment Account No. 140 Balance Date: January Item Post Ref. Debit Credit Debit Credit Accounts Payable Account No. 210 Balance Date: January Item Post Ref. Debit Credit Debit Credit Notes Payable Account No. 220 Balance Date: January Item Post Ref. Debit Credit Debit Credit Joe Coors, Capital Account No. 310 Balance Date: January Item Post Ref. Debit Credit Debit Credit Joe Coors, Drawing Account No. 330 Balance Date: January Item Post Ref. Debit Credit Debit Credit Service Revenue Account No. 410 Balance Date: January Item Post Ref. Debit Credit Debit Credit Utilities Expense Account No. 510 Balance Date: January Item Post Ref. Debit Credit Debit Credit Supplies Expense Account No. 520 Balance Date: January Item Post Ref. Debit Credit Debit Credit Cash Account No. 110 Balance Date: January Item Post Ref. Debit Credit Debit Credit 1 J1 11,000 11,000 5 J1 530 10,470 14 J1 6,200 16,670 18 J1 770 15,900 22 J1 925 14,975 27 J1 2,300 12,675 Accounts Receivable Account No. 120 Balance Date: January Item Post Ref. Debit Credit Debit Credit 10 J1 3,100 3,100 Office Supplies Account No. 130 Balance Date: January Item Post Ref. Debit Credit Debit Credit 22 J1 925 925 Equipment Account No. 140 Balance Date: January Item Post Ref. Debit Credit Debit Credit 6 J1 2,300 2,300 Accounts Payable Account No. 210 Balance Date: January Item Post Ref. Debit Credit Debit Credit 6 J1 2,300 2,300 27 J1 2,300 0 Notes Payable Account No. 220 Balance Date: January Item Post Ref. Debit Credit Debit Credit 14 J1 6,200 6,200 Joe Coors, Capital Account No. 310 Balance Date: January Item Post Ref. Debit Credit Debit Credit 1 J1 11,000 11,000 Joe Coors, Drawing Account No. 330 Balance Date: January Item Post Ref. Debit Credit Debit Credit 18 J1 770 770 Service Revenue Account No. 410 Balance Date: January Item Post Ref. Debit Credit Debit Credit 10 J1 3,100 3,100 Utilities Expense Account No. 510 Balance Date: January Item Post Ref. Debit Credit Debit Credit 5 J1 530 530 Supplies Expense Account No. 520 Balance Date: January Item Post Ref. Debit Credit Debit Credit