The December adjusted trial balance of Business Solutions reflecting its transactions from October through December of follows.
Number Account Title Debit Credit
Cash $
Accounts receivable
Computer supplies
Prepaid insurance
Prepaid rent
Office equipment
Accumulated depreciationOffice equipment $
Computer equipment
Accumulated depreciationComputer equipment
Accounts payable
Wages payable
Unearned computer services revenue
S Rey, Capital
S Rey, Withdrawals
Computer services revenue
Depreciation expenseOffice equipment
Depreciation expenseComputer equipment
Wages expense
Insurance expense
Rent expense
Computer supplies expense
Advertising expense
Mileage expense
Miscellaneous expenses
Repairs expenseComputer
Income summary
Totals $ $
Required:
Prepare an income statement for the three months ended December
Prepare a statement of owner's equity for the three months ended December Hint: The S Rey, Capital account balance was $ on October and owner investments were $ this period.
Prepare a classified balance sheet as of December
Record the closing entries as of December
Prepare a postclosing trial balance as of December