Kelly Consulting Post-Closing Trial Balance May 31 20Y8
Kelly Consulting Post-Closing Trial Balance May 31 20Y8 - Web 1) unadjusted trial balance. Web accounting questions and answers. 11 cash 32 retained earnings 12 accounts receivable 33 dividends 14 supplies 41 fees earned 15 prepaid rent 51 salary expense 16 prepaid insurance 52 rent expense 18 office equipment 53 supplies expense Unearned fees on may 31 are $3,210. Web kelly consulting unadjusted trial balance may 31, 20y5. The chart of accounts for kelly consulting is shown below:
$8,080 supplies $2,085 prepaid rent: Insurance expired during may is $275. Kelly consulting unadjusted trial balance may 31, 2048 debit credit account title balances balances cash 44,195 accounts receivable 8,080 supplies 2,085 prepaid rent 3,200 prepaid insurance 1,500 office equipment 14,500 accumulated depreciation 330 accounts payable 895 salaries payable o unearned fees 7,000. Journalize each of the may transactions. If an amount box does not require an entry, leave it blank.
Closing Entries and PostClosing Trial Balance
Debit credit cash 11 22,100 accounts receivable 12 3,400 supplies 14 1,350 prepaid rent 15 3,200 prepaid insurance 16 1,500 office equipment 18 14,500 accumulated depreciation 19 330 accounts payable 21 800. Insurance expired during may is $275. Journalize each of the may transactions. Web kelly consulting balance sheet may 31, 20y8 assets liabilities current assets: Web prepare an adjusted.
Solved Kelly Consulting PostClosing Trial Balance April 30,
31.kelly withdrew $10,500 for personal use. Kelly consulting unadjusted trial balance may 31, 2048 debit credit account title balances balances cash 44,195 accounts receivable 8,080 supplies 2,085 prepaid rent 3,200 prepaid insurance 1,500 office equipment 14,500 accumulated depreciation 330 accounts payable 895 salaries payable o unearned fees 7,000. Web see answer question: Rent expired during may is $1,600. Kelly consulting.
The Post Closing Trial Balance Contains Balance Sheet Accounts Only
Kelly consulting unadjusted trial balance may 31, 20y8. Debit credit cash 11 22, accounts receivable 12 3, supplies 14 1, prepaid rent 15 3, prepaid insurance 16 1, office equipment 18 14, accumulated depreciation 19 330 accounts payable 21 800 Kelly consulting's may transactions were journalized, adjusting entries were prepared, and the unadjusted trial balance was adjusted to reflect the.
Solved Kelly Consulting Unadjusted Trial Balance May 31,
Web prepare an adjusted trial balance. Web 31.provided services on account for the remainder of may,$2,650. Web kelly withdrew $10,500 for personal use. Image transcription text date account name post. Balance may 31, 20y8 account title.
Solved EXHIBIT 17 Kelly Consulting PostClosing Trial
Debit credit cash 11 22,100 accounts receivable 12 3,400 supplies 14 1,350 prepaid rent 15 3,200 prepaid insurance 16 1,500 office equipment 18 14,500 accumulated depreciation 19. Supplies on hand on may 31 are $715. Debit credit cash 11 22, accounts receivable 12 3, supplies 14 1, prepaid rent 15 3, prepaid insurance 16 1, office equipment 18 14, accumulated.
Kelly Consulting Post-Closing Trial Balance May 31 20Y8 - Supplies on hand on may 31 are $715. Image transcription text date account name post. Journalize each of the may transactions. Web kelly consulting adjusted trial balance may 31, 20y8 debit balances credit balances account title cash accounts receivable supplies 44,195 8,080 715 1,600 1,225 14,500 prepaid rent prepaid insurance office equipment accumulated depreciation 660 accounts payable 895 salaries payable 325 3,210 unearned fees common stock 42,300. This is the one piece i cannot figure out: Debit credit cash 11 22,100.
Web 31.provided services on account for the remainder of may,$2,650. Web kelly withdrew $10,500 for personal use. Balance april 30, 20y8 account no. 31.kelly withdrew $10,500 for personal use. Image transcription text date account name post.
This Is The One Piece I Cannot Figure Out:
The chart of accounts for kelly consulting is shown below: Unearned fees on may 31 are $3,210. Balance april 30, 20y8 account no. Web 1) unadjusted trial balance.
Kelly Consulting Unadjusted Trial Balance May 31, 2048 Debit Credit Account Title Balances Balances Cash 44,195 Accounts Receivable 8,080 Supplies 2,085 Prepaid Rent 3,200 Prepaid Insurance 1,500 Office Equipment 14,500 Accumulated Depreciation 330 Accounts Payable 895 Salaries Payable O Unearned Fees 7,000.
Web see answer question: 0/79 adjusted trial balance may 31, 2019 account title debit credit 1 cash 2 accounts receivable 3 supplies 4 prepaid rent 5 prepaid insurance 6 office equipment 7 accumulated depreciation • accounts payable 9 salaries payable 10 unearned fees 11 kelly pitney, capital 12. Debit credit cash 11 22,100 accounts receivable 12 3,400 supplies 14 1,350 prepaid rent 15 3,200 prepaid insurance 16 1,500 office equipment 18 14,500 accumulated depreciation 19. Image transcription text date account name post.
Supplies On Hand On May 31 Are $715.
Debit credit cash 11 22,100 accounts receivable 12 3,400 supplies 14 1,350 prepaid rent 15 3,200 prepaid insurance 16 1,500 office equipment 18 14,500 accumulated depreciation 19 330 accounts payable 21 800. 31.kelly withdrew $10,500 for personal use. Web kelly withdrew $10,500 for personal use. Web accounting questions and answers.
Asked By Chefsquid1686 On Coursehero.com.
Web kelly consulting unadjusted trial balance may 31, 20y5. Debit credit cash 11 22,100. Rent expired during may is $1,600. If an amount box does not require an entry, leave it blank.



