Nolans Home Appraisals Worksheet For Month Ended...

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Question

Accounting

Nolans Home Appraisals

Worksheet

For Month Ended October 31, 20 - -

1

TRIAL BALANCE

TRIAL BALANCE

ADJUSTMENTS

ADJUSTMENTS

2

ACCOUNT TITLE

DEBIT

CREDIT

DEBIT

CREDIT

3

Cash

830.00

4

Accounts Receivable

760.00

5

Supplies

625.00

415.00

6

Prepaid Insurance

950.00

150.00

7

Automobile

6,500.00

8

Accumulated DepreciationAutomobile

250.00

9

Accounts Payable

1,500.00

10

Wages Payable

175.00

11

Val Nolan, Capital

9,900.00

12

Val Nolan, Drawing

1,100.00

13

Appraisal Fees

3,000.00

14

Wages Expense

1,560.00

175.00

15

Advertising Expense

420.00

16

Rent Expense

1,050.00

17

Supplies Expense

415.00

18

Phone Expense

255.00

19

Insurance Expense

150.00

20

Repair Expense

270.00

21

Oil and Gas Expense

80.00

22

Depreciation ExpenseAutomobile

250.00

23

$14,400.00

$14,400.00

$990.00

$990.00

CHART OF ACCOUNTSNolans Home AppraisalsGeneral Ledger

ASSETS
101 Cash
122 Accounts Receivable
141 Supplies
145 Prepaid Insurance
181 Office Equipment
185.1 Accumulated Depreciation-Automobile
LIABILITIES
202 Accounts Payable
219 Wages Payable
EQUITY
311 Val Nolan, Capital
312 Val Nolan, Drawing
313 Income Summary
REVENUE
401 Appraisal Fees
EXPENSES
511 Wages Expense
512 Advertising Expense
521 Rent Expense
523 Supplies Expense
525 Phone Expense
535 Insurance Expense
538 Oil and Gas Expense
541 Depreciation Expense-Automobile
549

Miscellaneous Expense

PAGE 3

GENERAL JOURNAL

DATE ACCOUNT TITLE POST. REF. DEBIT CREDIT

1

Adjusting Entries

2

3

4

5

6

7

8

9

GENERAL LEDGER

Account: Supplies141Account No.

DATE ITEM POST. REF. DEBIT CREDIT BALANCE
DEBIT CREDIT

1

Oct. 2

J1

625.00

625.00

2

Account: Prepaid Insurance145Account No.

Account: Accumulated Depreciation-Automobile185.1Account No.

Account: Wages Payable219Account No.

Account: Wages Expense511Account No.

Account: Supplies Expense523Account No.

Account: Insurance Expense535Account No.

Account: Depreciation Expense-Automobile541Account No.

Required:

1. Journalize the adjusting entries on page 3 of the general journal.
2. Post the adjusting entries to the general ledger.

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