Question: please complete all requirements! This comprehensive problem is a continuation of Comprehensive Problem 1 . Murphy Delivery Service has completed closing entries and the accounting

This comprehensive problem is a continuation of Comprehensive Problem 1 . Murphy Delivery Service has completed closing entries and the accounting cycle for 2018. The business is now ready to record January 2019 transactions: Jan. 3 Collected $200 cash from customer on account. 5 Purchased otfice supplies on account, $1,000. 12. Performed delivery services for a customer and received 53,000 cash. 15 Paid employee salary, including the amount owed on December 31, 54, 100. is Performed delivery services on account. $1,350. 20 Poid 5300 on account. 24 : Furchased fuel for the truck, poying 5200 cash. 27 Completed the remaining work due for Unearned Revenue. 26. Paid otfice rent, 52,200 , for the month of sanuary: 30 Coliected 53,000m advance for delivery service to be performed latec. 31 thurphy withdrew eash of 51,500 . 1. Record each January transaction in the joumal. Explanations are not required 2. Post the transactions in the T-accounts. Don't forget to use the December 31, 2018, ending balances as appropriate 3. Prepare an unadjusted tral balance as of January 31, 2019 4. Prepare a worksheet as of January 31, 2019 (optional) 5. Journalize the adjusting entries using the following adjustrient data and also by reviewing the joumal entries Adjustment data: a. Oifice Supplies on nand, $600 D. Accrued Service Revenue, \$1, 800 c. Accrued Salaries Expense, 5500 d. Prepaid insurance for the manth has expired e. Depreciation was recorded on the truck for the montn. 6. Prepare an adjusted thai balance as of January 31; 2019 31. 2019 and the ciassided balance sneet on that date On the income statement list expentses indeceasing bicer by amount-that is, the fargest expensefirst, the smailest expense last cuttentratio
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