Question: Engineering Services Ltd prepared the following adjusted and post-closing entries trial balances for the month ended at 31st March. Adjusted Post-closing entries trial Trial Balance.

Engineering Services Ltd prepared the following adjusted and post-closing entries trial balances for the month ended at 31st March. Adjusted Post-closing entries trial Trial Balance. balance Account names Dr $ Cr $ Dr $ Cr $ Cash 398 898 Accounts receivable 2 652 2 652 Supplies 1 920 1 920 Office equipment 15 600 15 600 Accumulated Depreciation 3 594 3 594 Accounts Payable 1 260 1 260 Service revenue received in 780 780 advance Salaries Payable 600 600 Share Capital 9 400 9 400 Dividends 800 Retained earnings 5 400 5 436 Service Revenue 7 200 Depreciation Expense 344 Supplies Expense 750 Salaries Expense 2 520 Rent Expense 2 400 Tax expense 350 Totals $28 234 $28 234 $21 070 $21 070 Required: Prepare a classified balance sheet at 31 march
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