Question: so the first picture is the steps , second picture is the data, and i have to make a journal entry then a ledger and

 so the first picture is the steps , second picture is
the data, and i have to make a journal entry then a
ledger and trail balance UPUUCIU Fonte 2 Alignment B21 Number ACC 101
Comprehensive Problem Seaside Cleaning Service REQUIRED 5 Step 1 Step 2 Step
so the first picture is the steps , second picture is the data, and i have to make a journal entry then a ledger and trail balance

UPUUCIU Fonte 2 Alignment B21 Number ACC 101 Comprehensive Problem Seaside Cleaning Service REQUIRED 5 Step 1 Step 2 Step 3 3 Step 4 Step 5 0 Step 6 Journalize the July transactions. Use journal page 1. Post the July transactions from page J1 to the general ledger. Prepare a trial balance at July 31 using the running balance total for each account in the ledger Journalize the adjusting entries. Use journal page 2 Post the July adjusting entries from page J2 to the general ledger. Prepare an adjusted trial balance at July 31 using the updated running balance total for each account in the ledger Prepare the Income Statement for July Prepare the Statement of Owners Equity for July Prepare a classified Balance Sheet at July 31, 2019. Journalize the necessary closing entries. Use journal page 3. Post the July closing entries from page 33 to the general ledger Prepare a post-closing trial balance at July 31 2 Step 7 3 Step 8 4 Step 9 5 Step 10 6 Step 11 7 Step 12 5-OCCO for E B C D J F G H I ACC101 Comprehensive Problem Seaside Cleaning Service Martin Johnson opened Seaside Cleaning Service on July 1, 2019. During July, the company completed the following transactions: July 1 Owner Martin Johnson invested $39,870 cash and $7,545 of cleaning equipment in the business. 1 Purchased a used truck for $10,500, paying $2,500 cash and the balance on account. 3 Purchased cleaning supplies for $1,794 on account. 5 Paid $1,800 on a one-year insurance policy, effective July 1 12 Billed customers $4,813 for cleaning services 15 Received $1,650 from customers for future cleaning services. 18 Paid $1,200 of amount owed on truck. 20 Paid $698 for employee salaries. 21 Collected $3,632 from customers billed on July 12 25 Billed customers $6,275 for cleaning services 31 Paid gasoline for the month on the truck, $297 31 Owner Martin Johnson withdrew $1,000 for personal use. Adjustments, July 31 Earned but unbilled fees at July 31 were $2.476 Depreciation on truck for the month was $175. Earned $450 of payment received on July 15. One-twelfth of the insurance expired. An inventory count shows $521 of cleaning supplies on hand at July 31 Accrued but unpaid employee salaries were $287 Instructions Data Journal pl Ledger, Ledger, p2 Ledger, p3 Ledger 4 Trial ILU - Lompatibility Mode - Ex. Home Insert Page Layout Formulas Data Review View Help Arial 10 Paste AA O E UP 1 Wrap Text Wrap Test Merge & Center - General - A Clipboard $ - % 9 Font 9 Alignment Conditional Format as Formatting Table Styles Cell Styles A1 Number Date JOURNAL Description Post. Ref. Debit Page 1 Credit e diger p Ledger 4 Ledger p Ledger Instructions Data Journal Search AutoSave o R Comp Prob 1 201920 (1) - Compatibility Mode - Ex... ile Home Insert Page Layout Formulas Data Review View Help Arial 10 A A == Wrap Text en BIU-B O A . Merge & Center - Clipboard Font Alignment - General 5 - % 98 Number A B C D GENERAL LEDGER Account Cash Account No. 101 Balance Date Post. Ref Item Debit Credit Debit Credit Account No. 112 19 Account Accounts Receivable Balance Date Item Instructions Ref. Data Debit Journal Credit Ledger.pl Debit Ledger 2 Ledger 3 Credit Ledger.pl Tats. Type here to search

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