Question

Palisade Creek Co. ADJUSTED TRIAL BALANCE May 31, 2019 ACCOUNT TITLE DEBIT CREDIT 1 Cash 84500...

Palisade Creek Co.

ADJUSTED TRIAL BALANCE

May 31, 2019

ACCOUNT TITLE DEBIT CREDIT

1

Cash

84500

2

Accounts Receivable

245875

3

Merchandise Inventory

570000

4

Estimated Returns Inventory

50200

5

Prepaid Insurance

4800

6

Store Supplies

4000

7

Store Equipment

569500

8

Accumulated Depreciation-Store Equipment

70700

9

Accounts Payable

63150

10

Customers Refunds Payable

89270

11

Salaries Payable

13600

12

Lynn Tolley, Capital

685300

13

Lynn Tolley, Drawing

135000

14

Sales

5316205

15

Cost of Merchandise Sold

2991950

16

Sales Salaries Expense

727800

17

Advertising Expense

292000

18

Depreciation Expense

14000

19

Store Supplies Expense

9800

20

Miscellaneous Selling Expense

12600

21

Office Salaries Expense

417700

22

Rent Expense

88700

23

Insurance Expense

12000

24

Miscellaneous Administrative Expense

7800

25

Totals

6238225

6238225

8. Use the adjusted trial balance figures to prepare an income statement, a statement of owner’s equity, and a balance sheet.

I've already provided the adjusted trial balance up top

Income Statement

Palisade Creek Co.

Income Statement

1

2

3

4

5

Selling expenses:

6

7

8

9

10

11

12

Administrative expenses:

13

14

15

16

17

18

19

Palisade Creek Co.

Statement of Owner’s Equity

1

2

3

4

5

Palisade Creek Co.

Balance Sheet

1

Assets

2

3

4

5

6

7

8

9

10

11

12

13

14

15

Liabilities

16

17

18

19

20

21

Owner’s Equity

22

23

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