(4) Prepare adjusting journal entries in the general journal based on the following information (adjusting...

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Accounting

(4) Prepare adjusting journal entries in the general journal based on the following information (adjusting entries are dated June 30):

(a) The building has an estimated useful life of 25 years. Record depreciation for one month using straight line depreciation.

(b) The equipment has an estimated useful life of 7 years. Record depreciation for one month using straight line depreciation.

(c) Record insurance expired for one month.

(d) Supplies on hand at the end of June have a cost of $310.

(e) Accrue employee wages for 4 days from Monday June 27 through Thursday June 30 (payroll is $3,600 for the two week pay period totaling 10 days for a Monday-Friday workweek).

(f) Accrue interest for June on the $180,000 Mountain High Bank note payable. The annual interest rate is 4%.

(g) As of the end of June, $975 of the services have been performed for customers for which payment had been received in advance on June 17.

(h) In June, entered into a contact with Barr & Associates, CPAs to provide delivery services for the firms professionals. Nolans Delivery Services will bill Barr & Associates in the following month for services provided. Services totaling $700 were performed in June and will be billed in July 2011.

(i) Income taxes to accrue for June are estimated to be $1,033.

Date

Account Titles Ref Debit Credit
6/1 Cash 111 100,000
Common Stock 311 100,000
6/1 Building 141 250,000
Notes Payable 211 180,000
Cash 111 70,000
6/2 Equipment 143 10,920
Accounts Payable 212 10,920
6/2 Prepaid Insurance 515 2,100
Cash 111 2,100
6/3 Ad Expense 512 700
Cash 111 700
6/5 Supplies 212 1,150
Accounts Payable 113 1,150
6/13 Accounts Payable 113 5,000
Cash 111 5,000
6/13 Wages Expense 511 2,880
Wages Payable 213 2,880
6/13 Wages Payable 213 2,880
Cash 111 2,880
6/14 Account Recievable 112 3,475
Service Revenue 411 3,475
6/16 Cash 111 4,750
Service Revenue 411 4,750
6/17 Cash 111 1,825
Unearned Service Revenue 214 1,825
6/23 Utilities Expense 513 460
Cash 111 460
6/24 Cash 111 1,700
Accounts Recievable 112 1,700
6/27 Wages Payable 213 3,600
Cash 111 3,600
6/30 Service Revenue 411 5,300
Cash 111 5,300
6/30 Dividends 313 1,025
Cash 111 1,025

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