Question: PLEASE READ ALL INSTRUCTIONS BELOW AND ON EACH WORKSHEET TAB ON ENSURE COMPLIANCE. McBride Company has the following opening account balances in its general ledger
| PLEASE READ ALL INSTRUCTIONS BELOW AND ON EACH WORKSHEET TAB ON ENSURE COMPLIANCE. | ||||||||||
| McBride Company has the following opening account balances in its general ledger on January 1. | ||||||||||
| General Ledger | ||||||||||
| Jan. 1 Balance | ||||||||||
| Acct # | Account Title | Jan. 1 Balance | ||||||||
| 101 | Cash 35,970 | 35,970 | ||||||||
| 112 | Accounts Receivable $14,100 | 14,100 | ||||||||
| 115 | Notes Receivable 38,680 | 38,680 | ||||||||
| 120 | Inventory 21,000 | 21,100 | ||||||||
| 126 | Supplies 1,150 | 1,150 | ||||||||
| 130 | Prepaid Insurance 1,900 | 1,900 | ||||||||
| 157 | Equipment 6,640 | 6,640 | ||||||||
| 158 | Accumulated DepreciationEquip. 1,524 | 1,524 | ||||||||
| 201 | Accounts Payable 34,300 | 34,300 | ||||||||
| 301 | Owners Capital 83,716 | 83,716 | ||||||||
| In addition, the following transactions have not been journalized for January 2014. | ||||||||||
| Jan. | 3 | Sell merchandise on account to B. Berg $3,000, invoice no. 510,and J. Lutz $1,800, invoice no. 511. | ||||||||
| Jan. | 5 | Purchase merchandise on account from S. Colt $3,000 and D. Kahn $2,510. | ||||||||
| Jan. | 7 | Receive checks for $4,870 from S. Andrus and $2,030 from B. Boxberger. | ||||||||
| Jan. | 8 | Pay freight on merchandise purchased $200. | ||||||||
| Jan. | 9 | Send checks to S. Otero for $8,950 and D. Baroni for $9,850. | ||||||||
| Jan. | 9 | Issue credit of $300 to J. Lutz for merchandise returned. | ||||||||
| Jan. | 10 | Summary cash sales total $15,700. | ||||||||
| Jan. | 11 | Sell merchandise on account to R. Kotsay for $1,830, invoice no. 512, and to S. Andrus $1,100, invoice no. 513. | ||||||||
| Jan. | 12 | Pay rent of $860 for January. | ||||||||
| Jan. | 13 | Receive payment in full from B. Berg and J. Lutz. | ||||||||
| Jan. | 15 | Withdraw $1,040 cash by I. McBride for personal use. | ||||||||
| Jan. | 16 | Purchase merchandise on account from D. Baroni for $15,200, from S. Otero for $12,700, and from S.Colt for $1,360. | ||||||||
| Jan. | 17 | Pay $420 cash for office supplies. | ||||||||
| Jan. | 18 | Return $210 of merchandise to S. Otero and receive credit. | ||||||||
| Jan. | 20 | Summary cash sales total $17,900. | ||||||||
| Jan. | 21 | Issue $15,500 note to R. Rasmus in payment of balance due. | ||||||||
| Jan. | 21 | Receive payment in full from S. Andrus. | ||||||||
| Jan. | 22 | Sell merchandise on account to B. Berg for $3,890, invoice no. 514, and to R. Kotsay for $1,110, invoice no 515. | ||||||||
| Jan. | 23 | Send checks to D. Baroni and S. Otero in full payment. | ||||||||
| Jan. | 25 | Sell merchandise on account to B. Boxberger for $3,800, invoice no. 516, and to J, Lutz fir $6,310, invoice no. 517. | ||||||||
| Jan. | 27 | Purchase merchandise on account from D. Baroni for $12,500, from D. Kahn for $1,240, and from S. Colt for $2,700. | ||||||||
| Jan. | 28 | Pay $380 cash for office supplies. | ||||||||
| Jan. | 31 | Summary cash sales total $23,500. | ||||||||
| Jan. | 31 | Pay sales salaries of $4,390 and office salaries of $3,470. | ||||||||
| Instructions | ||||||||||
| 1 | Record the January transactions in the appropriate journal-sales, purchases, cash receipts, cash payments where applicable AND record all transactions on "journal entries" tab. | |||||||||
| 2 | Create adjusted trial balance. | |||||||||
| 3 | Prepare income statement, statement of owner's equity and balance sheet for McBride Co. | |||||||||
| 4 | Prepare closing entries and post closing trial balance . | |||||||||
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