Question: Assignment CH 1&2 Saved Help Save & Exit 4 ebook Acct. No 101 186 125 163 173 183 203 2.30 301 302 401 523 645





Assignment CH 1&2 Saved Help Save & Exit 4 ebook Acct. No 101 186 125 163 173 183 203 2.30 301 302 401 523 645 655 Feline Pet Care Trial Balance July 31, 2020 Account Title Cash Accounts receivable Prepaid Insurance Equipment Building Land Accounts payable Unearned revenue Dwight Turnbull, capital Dwight Turnbull, withdrawals Revenue linges expense Equipment rental expense Advertising expense Pet food expense Totals Debit Credit $ 23,600 12,200 13,160 28,300 195.000 142.000 9.15.140 95,000 299,760 1,000 11,000 54,000 40,000 1000 18.00 $540,909 550.000 Required Using the trial balance provided above, prepare an income statement and statement of changes in equity for the strended July 31, 2020, and a balance sheet at July 31, 2020 FELINE PET CARE S 95.000 131,000 Income Statement For Year Ended July 31, 2020 Revenues Unearned Revenue Revenue Operating expenses Equipment $ 18.800 Petfood expense 18,400 Wages expense 64 000 Equipment rental expense 40.000 Advertising expense 9.800 Total operating expenses 151000 4 FELINE PET CARE Statement of Changes in Equity For Year Ended July 31, 2020 Dwight Turnbull, capital August 1 eBook Total 0 0 Dwight Turnbull capital. July 31 FELINE PET CARE 4 FELINE PET CARE Balance Sheet July 31, 2020 eBook Assets Liabilities Total Habib Equity 5 0 Total assets Total abilities and equity $ Analysis Component Help Save & Exit Journal entry worksheet 4 1 2 > Record receipt of cash for completing work for clients. ebook Note: Enter debts before credit Date General Journal Deble Credit July 31, 2020 Record Cloudy View general Journal entry worksheet 4. Record the work completed for clients on account. 500 Net Enter debits before credits General Joumal Deble Credit Date July 31, 2020 Record entry Clue Vingerajone
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