The adjusted trial balance for Oriole Company is given
below.
ORIOLE
COMPANY
Trial Balance
August 31,...
The adjusted trial balance for Oriole Company is given
below.
ORIOLE
COMPANY
Trial Balance
August 31, 2022
Before
Adjustment
After
Adjustment
Dr.
Cr.
Dr.
Cr.
Cash
$11,640
$11,640
Accounts Receivable
8,440
8,940
Supplies
2,930
1,370
Prepaid Insurance
4,250
2,860
Equipment
16,000
16,000
Accumulated Depreciation—Equipment
$3,600
$4,800
Accounts Payable
5,870
5,870
Salaries and Wages Payable
0
1,140
Unearned Rent Revenue
1,920
1,080
Common Stock
18,220
18,220
Retained Earnings
5,700
5,700
Dividends
2,600
2,600
Service Revenue
34,240
34,740
Rent Revenue
13,720
14,560...
The trial balance for Pioneer Advertising is shown below.
Pharoah Advertising Trial Balance October 31, 2017...
The trial balance for Pioneer Advertising is shown below.
Pharoah Advertising Trial Balance October 31, 2017 Debit Credit
Cash $16,000 Supplies 2,800 Prepaid Insurance 500 Equipment 4,900
Notes Payable $4,800 Accounts Payable 3,000 Unearned Service
Revenue 1,100 Owner’s Capital 10,300 Owner’s Drawings 600 Service
Revenue 10,600 Salaries and Wages Expense 4,100 Rent Expense 900
$29,800 $29,800 Assume the following adjustment data. 1. Supplies
on hand at October 31 total $600. 2. Expired insurance for the
month is $300. 3. Depreciation...
Selected worksheet data for Elsayed Company are presented
below.
Trial Balance
Adjusted Trial Balance
Account Titles...
Selected worksheet data for Elsayed Company are presented
below.
Trial Balance
Adjusted Trial Balance
Account Titles
Debit
Credit
Debit
Credit
Accounts Receivable
?
33,311
Prepaid Insurance
26,057
20,182
Supplies
7,197
?
Accumulated
Depreciation—Equipment
12,313
?
Salaries and Wages
Payable
?
4,852
Service Revenue
87,773
96,120
Insurance Expense
?
Depreciation Expense
11,973
Supplies Expense
4,478
Salaries and Wages
Expense
?
49,220
Presented below is the adjusted trial balance of Katie’s Pet
Supplies as at its fiscal year...
Presented below is the adjusted trial balance of Katie’s Pet
Supplies as at its fiscal year end, June 30, 2017. All accounts are
their normal balance (debit or credit). Katie’s uses the perpetual
inventory system.
Accounts payable........................... $ 34,850 K.
Milani, Capital..................... $ 50,770
Accounts receivable.......................... 27,300 K.
Milani, Drawings.................. 24,000
Accum. depreciation, computers......... 1,500 Long-term note
receivable...... 14,000
Accum. depreciation, equipment....... 32,000 Merchandise
inventory............ 55,000
Advertising expense............................ 3,200 Note
payable, due 2018.......... 47,000
Cash.................................................... 9,500
Prepaid rent............................. 1,500
Computers..............................................
The unadjusted trial balance of Copper’s Hire Cars is shown
below (ignore GST).
Copper’s Hire Cars...
The unadjusted trial balance of Copper’s Hire Cars is shown
below (ignore GST).
Copper’s Hire Cars
Unadjusted Trial Balance
As at 30 June 2019
Account
Debit
Credit
Cash at bank
$ 8,140
Accounts receivable
12,860
Office supplies
640
Prepaid insurance
2,700
Hire cars
93,600
Accumulated depreciation - hire cars
$ 39,400
Accounts payable
10,800
Unearned hire fees
2,260
H. S. Capital
68,340
H. S. Drawings
20,600
Hire fees revenue
98,700
Insurance expense
8,180
Wages expense
50,620
Advertising expense
3,880
Maintenance...
The following is the Bravo Unlimited adjusted Trial
Balance.
Bravo Unlimited
Adjusted Trial Balance
December 31,...
The following is the Bravo Unlimited adjusted Trial
Balance.
Bravo Unlimited
Adjusted Trial Balance
December 31, 2016
Account Title
Debit
Credit
Cash
$88,450
Accounts Receivable
331,860
Supplies
13,255
Prepaid Rent
10,500
Equipment
295,285
Accumulated Depreciation
$236,760
Accounts Payable
75,555
Wages Payable
14,000
Capital Stock
220,000
Retained Earnings
111,145
Service Revenue
900,105
Interest Income
1,500
Rent Expense
64,000
Wages Expense
541,260
Supplies Expense
42,520
Utilities Expense
8,595
Depreciation Expense
156,500
Interest Expense
6,840
_________
Totals
$1,559,065
$1,559,065
Prepare the general...
The following is the Bravo Unlimited adjusted Trial
Balance.
Bravo Unlimited
Adjusted Trial Balance
December 31,...
The following is the Bravo Unlimited adjusted Trial
Balance.
Bravo Unlimited
Adjusted Trial Balance
December 31, 2016
Account Title
Debit
Credit
Cash
$88,450
Accounts Receivable
331,860
Supplies
10,255
Prepaid Rent
8,250
Equipment
295,285
Accumulated Depreciation
$235,260
Accounts Payable
72,555
Wages Payable
10,000
Capital Stock
220,000
Retained Earnings
111,145
Service Revenue
897,105
Interest Income
1,500
Rent Expense
63,250
Wages Expense
537,260
Supplies Expense
42,520
Utilities Expense
8,595
Depreciation Expense
155,000
Interest Expense
6,840
________
Totals
$1,547,565
$1,547,565
Prepare the general...