Try another version of these questions Journalize, in the correct order, the adjusting entry needed on July 31 for each situation. Ashley’s Payroll Services had the following accounts and account balances after adjusting entries. Assume all accounts have normal balances. Prepare the adjusted trial balance for Ashley’s Payroll Services as of December 31, 2016.
Unadjusted Trial Balance
July 31, 2018Accounts Debits Credits Cash 3,025 Accounts Receivable 7,090 Supplies 1,240 Prepaid Insurance 555 Office Equipment 53,250 Accumulated Depreciation -
Office Equipment 9,300 Accounts Payable 895 Wages Payable 0 Unearned Fees 1,090 M. Zee, Capital 30,850 M. Zee, Drawing 5,095 Fees Earned 59,190 Wages Expense 22,520 Depreciation Expense 0 Rent Expense 4,265 Utilities Expense 2,780 Supplies Expense 0 Insurance Expense 0 Miscellaneous Expense 1,505 Total Single line101,325Double line Single line101,325Double line
Date Description Debit Credit July 31 July 31 July 31 July 31 July 31 July 31 July 31 July 31 July 31 July 31 July 31 July 31 Date Description Debit Credit July 31 Supplies Expense 855 July 31 Supplies 855 July 31 Insurance Expense 300 July 31 Prepaid Insurance 300 July 31 Depreciation Expense 4,540 July 31 Accumulated Depreciation - Office Equipment 4,540 July 31 Wages Expense 480 July 31 Wages Payable 480 July 31 Accounts Receivable 1,100 July 31 Fees Earned 1,100 July 31 Unearned Fees 330 July 31 Fees Earned 330 Account Name Account Value Cash $23,200 Land $24,450 Utilities Payable $670 Accounts Payable $3,600 Accumulated Depreciation--
Equipment $1,500 Service Revenue $89,550 Supplies Expense $630 Ashley Moore, Drawing $28,000 Equipment $25,000 Accounts Receivable $4,050 Office Supplies $900 Ashley Moore, Capital $19,050 Depreciation Expense--Equipment $1,800 Unearned Revenue $530 Utilities Expense $1,670 Salaries Expense $5,200
Adjusted Trial Balance
For the Year Ending Dec. 31, 2016Accounts Debits Credits Total Single lineDouble line Single lineDouble line
Adjusted Trial Balance
For the Year Ending Dec. 31, 2016Accounts Debits Credits Cash 23,200 Accounts Receivable 4,050 Office Supplies 900 Land 24,450 Equipment 25,000 Accumulated Depreciation--Equipment 1,500 Accounts Payable 3,600 Utilities Payable 670 Unearned Revenue 530 Ashley Moore, Capital 19,050 Ashley Moore, Drawing 28,000 Service Revenue 89,550 Salaries Expense 5,200 Depreciation Expense--Equipment 1,800 Utilities Expense 1,670 Supplies Expense 630 Total Single line114,900Double line Single line114,900Double line