Question: PS: THE SAME EXERCISE WAS ANSWERED BEFORE BUT SOME ANSWERS ARE INCORRECT. The completed work sheet for Valerie Insurance Agency as of December 31 is

PS: THE SAME EXERCISE WAS ANSWERED BEFORE BUT SOME ANSWERS ARE INCORRECT.

The completed work sheet for Valerie Insurance Agency as of December 31 is presented below, along with the general ledger as of December 31 before adjustments.

Valerie Insurance Agency

For Year Ended December 31, 20

TRIAL BALANCE

ADJUSTMENTS

ADJUSTED TRIAL BALANCE

INCOME STATEMENT

BALANCE SHEET

ACCOUNT NAME

DEBIT

CREDIT

DEBIT

CREDIT

DEBIT

CREDIT

DEBIT

CREDIT

DEBIT

CREDIT

1

Cash

7,532.00

7,532.00

7,532.00

1

2

Office Supplies

315.00

(c) 75.00

240.00

240.00

2

3

Office Equipment

2,398.00

2,398.00

2,398.00

3

4

Accum. Depr., Office Equipment

420.00

(a) 420.00

840.00

840.00

4

5

M. Valerie, Capital

18,614.00

18,614.00

18,614.00

5

6

M. Valerie, Drawing

18,000.00

18,000.00

18,000.00

6

7

Premiums Earned

33,400.00

33,400.00

33,400.00

7

8

Wages Expense

20,500.00

(b) 428.00

20,928.00

20,928.00

8

9

Rent Expense

2,200.00

2,200.00

2,200.00

9

10

Telephone Expense

736.00

736.00

736.00

10

11

Advertising Expense

645.00

645.00

645.00

11

12

Miscellaneous Expense

108.00

108.00

108.00

12

13

52,434.00

52,434.00

13

14

Office Supplies Expense

(c) 75.00

75.00

75.00

14

15

Depr. Exp., Office Equipment

(a) 420.00

420.00

420.00

15

16

Wages Payable

(b) 428.00

428.00

428.00

16

17

923.00

923.00

53,282.00

53,282.00

25,112.00

33,400.00

28,170.00

19,882.00

17

18

Net Income

8,288.00

8,288.00

18

19

33,400.00

33,400.00

28,170.00

28,170.00

19

Required:

1. Write the balances from the unadjusted trial balance in the general ledger. Post the transactions in the order of journalizing them in the general journal. If no amount is required, leave the entry box blank.

ACCOUNT

M. Valerie, Capital

ACCOUNT NO.

311

DATE

ITEM

POST. REF.

DEBIT

CREDIT

BALANCE

DEBIT

CREDIT

20--

Dec.

31

Balance

31

Closing

17

31

Closing

17

ACCOUNT

Income Summary

ACCOUNT NO.

313

DATE

ITEM

POST. REF.

DEBIT

CREDIT

BALANCE

DEBIT

CREDIT

20--

Dec.

31

Closing

17

31

Closing

17

31

Closing

17

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