Tuesday, June 2, 2020

Introduction To Accounting Transactions Campus Cycle Shop - 550 Words

Introduction To Accounting Transactions Campus Cycle Shop (Other (Not Listed) Sample) Content: Part A (30 points)Record the following transactions in the basic accounting equation:a. Brian invests $10,000 cash to begin an accounting service.b. The company buys office furniture for cash, $600.c. The company buys additional office furniture on account, $300.d. The company makes a payment on the office furniture, $200.Brian's Accounting ServiceASSETS = LIABILITIES + OWNER'S EQUITYCash + Office Furniture = Accounts Payable + Brian's CapitalSolutionAssets=Liability+CapitalCash + Office furniture=Account payable + Brian's Capital$10,000=$10,000$600$600=$600$300=$300$200=$200Part B (40 points)The following is a list of accounts and their balances for Benson Company for the month ended June 30, 20xx. Prepare a trial balance in good form.Cash $1,370 Benson, Withdrawals $ 500Accounts Payable 770 Accounts Receivable 1,600Office Equipment 900 Service Fees 2,730Benson, Capital 1,500 Salaries Expense 630SolutionBenson CompanyTrial BalanceAs at June 20, 20(customers date)Pa rticulars=Debit+CreditCash=$1,370Account Payable=$770Office Equipment=$900Benson, Capital=$1,500Benson, Withdrawals=$500Account Receivable=$1,600Service Fee=$2,750Salaries Expense=$630$5,000$5,000Part C (30 points)The following transactions occurred during June for Campus Cycle Shop. Record the transactions below in the T accounts. Place the letter of the transaction next to the entry. Foot and calculate the ending balances of the T accounts where appropriate.a. Tyler invested $6,500 in the bike service from his personal savings account.b. Bought office equipment for cash, $900.c. Performed bike service for a customer on account, $1,000.d. Company cell phone bill received, but not paid, $80.e. Collected $500 from customer in transaction c.f. Tyler withdrew $300 for personal use.Solutiona.Tyler invested $6,500 in the bike service from his personal savings accountCash 111Capital$6,500Office Equipment$900Account payable$500Tyler's withdrawal$300Account Receivable 112Service Fee$1,000Ca sh$500C/D$500

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