Question: 4 Part to the question, spreadsheets are attached Requirement 1 Requirement 2 Requirement 3 P3-35A Journalizing and posting adjustments to the Taccounts and preparing an

4 Part to the question, spreadsheets are attached
4 Part to the question, spreadsheets are attached Requirement 1 Requirement 2
Requirement 3 P3-35A Journalizing and posting adjustments to the Taccounts and preparing
Requirement 1
an adjusted trial balance The unadjusted trial balance of Anniston Air Purification
Requirement 2
System at December 31, 2018, and the data needed for the adjustments
Requirement 3
follow. Adjustment data at December 31 follow: a. On December 15, Anniston

P3-35A Journalizing and posting adjustments to the Taccounts and preparing an adjusted trial balance The unadjusted trial balance of Anniston Air Purification System at December 31, 2018, and the data needed for the adjustments follow. Adjustment data at December 31 follow: a. On December 15, Anniston contracted to perform services for a client receiving $3,100 in advance. Anniston recorded this receipt of cash as Unearned Revenue. As of December 31, Anniston has completed $2,100 of the services. b. Anniston prepaid two months of rent on December 1 . (Assume the Prepaid Rent balance as shown on the unadjusted trial balance represents the two months of rent prepaid on December 1.) d. Depreciation for the equipment is $850. e. Anniston received a bill for December's online advertising, $1,100. Anniston will not pay the bill until January. (Use Accounts Payable.) f. Anniston pays its employees on Monday for the previous week's wages. Its employees earn $3,500 for a five-day workweek. December 31 falls on Wednesday this year. g. On October 1, Anniston agreed to provide a four-month air system check (beginning October 1) for a customer for $3,400. Anniston has completed the system check every month, but payment has not yet been received and no entries have been made. Requirements 1. Journalize the adjusting entries on December 31 . 2. Using the unadjusted trial balance, open the Taccounts with the unadjusted balances. Post the adjusting entries to the T-accounts. 3. Prepare the adjusted trial balance. 4. How will Anniston Air Purification System use the adjusted trial balance? Requ

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