Question: Show m e the steps t o solve Journalize the transactions that occurred i n June. D o not include explanations. Final Assessment: Outline and

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Journalize the transactions that occurred in June. Do not include explanations.
Final Assessment: Outline and Rubric
Accounting Cycle & Transaction Analysis Final Assessment: Outline and Rubric
Open the ledger accounts listed in the trial balance together with their beginning balances at
May 31. Use the four-column account format as illustrated below. Enter "Bal" for the May 31
balance in the Item column. Post the journal entries to the ledger, create new ledger accounts
as necessary, and omit posting references. Calculate the new account balances at June 30,2014.
Open the ledger accounts listed in the trial balance together with their beginning balances at May 31. Use the four-column account format as illustrated below. Enter "Bal" for the May 31 balance in the Item column. Post the journal entries to the ledger, create new ledger accounts as necessary, and omit posting references. Calculate the new account balances at June 30,2014.
Prepare the trial balance for Purity Water, Inc., at June 30,2014.
Journalize and post the adjusting entries for June based on the following adjustment information. a$200.
b$100 equipment, $75 furniture, $330 vehicles.
c$1,900.
d$550.
Prepare an adjusted trial balance for Purity Water, Inc., at the end of June. Appendix A
Accounting Cycle & Transaction Analysis Final Assessment: Outline and RubricDuring June the following transactions occurred:
Jun 1 Paid receptionist's salary, $550.
2 Paid cash to acquire land for a future office site, $17,000.
3 Moved into a new location for the business and paid the first month's rent, $1,800.
4 Performed service for a customer and received cash, $1,900.
5 Received $400on account.
8 Purchased $600of supplies on account.
11 Billed customers for services performed, $2,800.
13 Sold an additional $10,000of common stock to Mel Hollingsworth.
16 Paid receptionist's salary, $550.
17 Received $1,400 cash for services performed.
18 Received $900 from customers on account.
19 Paid $325tobe listed in the Yellow Pages telephone directory.
21 Paid $800on account.
22 Purchased office furniture on account, $3,600.
24 Paid miscellaneous expenses, $250.
26 Billed customers for services provided, $1,300.
28 Received $1,600 from customers on account.
30 Paid utility bill, $690.
30 Paid receptionist's salary, $550.
30 Paid $3,100of dividends.
Show m e the steps t o solve Journalize the

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