Instructions 1. Prepare journal entries to record each of the events listed. Provide relevant descriptions for each journal entry in good form; skip a line between entries. Post Journal Entries to the General Ledger 2. 3. Prepare a trial balance as of May 31, 2017. Home Services was formed on May 1, 2017. The following transactions took place during the first month. 1. May 1-Stockholders invested $60,000 cash in exchange for common stock. 2. May 1-Signed a 2-year rental agreement on a warehouse; paid $36,000 cash in advance for the first year. 3. May 1- Purchased equipment costing $35,000. A cash payment of $12,000 was made immediately, the remainder will be paid in 60 days. 4. May 1-Paid $1,500 cash for a one-year insurance policy on the equipment. 5. May 2-Purchased basic office supplies for $400 cash. 6. May 3-Purchased office supplies from Office Depot for $1,600 on account. 7. May 10-Received $12,000 cash for services performed for a new customer. 8. May 13- Paid $600 to Office Depot for supplies purchased on account on May 3. 9. May 18-$16,000 of services were performed for B. Jones on account. 10. May 31 -Received May utility bill in the amount of $400, to be paid next month. 11. May 31-Paid the monthly salaries of the two employees, totalling $7,600. 12. May 31-Received $6,000 from B. Jones on account. 101 - Cash 112-Accounts Receivable 120-Supplies 136-Prepaid Rent 140-Prepaid Insurance 157-Equipment Home Services Chart of Accounts 201-Accounts Payable 311-Common Stock 400-Service Revenue 726-Salaries & Wages Expense 729-Rent Expense 730-Utility Expense

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter3: Analyzing And Recording Transactions
Section: Chapter Questions
Problem 11PB: Prepare journal entries to record the following transactions that occurred in April: A. on first day...
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Instructions
1. Prepare journal entries to record each of the events listed. Provide relevant descriptions
for each journal entry in good form; skip a line between entries.
2. Post Journal Entries to the General Ledger
3. Prepare a trial balance as of May 31, 2017.
Home Services was formed on May 1, 2017. The following transactions took place during the first
month.
1. May 1 - Stockholders invested $60,000 cash in exchange for common stock.
2. May 1-Signed a 2-year rental agreement on a warehouse; paid $36,000 cash in advance for
the first year.
3. May 1- Purchased equipment costing $35,000. A cash payment of $12,000 was made
immediately; the remainder will be paid in 60 days.
4. May 1-Paid $1,500 cash for a one-year insurance policy on the equipment.
5. May 2-Purchased basic office supplies for $400 cash.
6. May 3-Purchased office supplies from Office Depot for $1,600 on account.
7. May 10 - Received $12,000 cash for services performed for a new customer.
8. May 13-Paid $600 to Office Depot for supplies purchased on account on May 3.
9. May 18-$16,000 of services were performed for B. Jones on account.
10. May 31 - Received May utility bill in the amount of $400, to be paid next month.
11. May 31 - Paid the monthly salaries of the two employees, totalling $7,600.
12. May 31 - Received $6,000 from B. Jones on account.
Home Services
Chart of Accounts
101 - Cash
112- Accounts Receivable
120-Supplies
136- Prepaid Rent
140-Prepaid Insurance
157-Equipment
201-Accounts Payable
311-Common Stock
400-Service Revenue
726-Salaries & Wages Expense
729-Rent Expense
730-Utility Expense
Transcribed Image Text:Instructions 1. Prepare journal entries to record each of the events listed. Provide relevant descriptions for each journal entry in good form; skip a line between entries. 2. Post Journal Entries to the General Ledger 3. Prepare a trial balance as of May 31, 2017. Home Services was formed on May 1, 2017. The following transactions took place during the first month. 1. May 1 - Stockholders invested $60,000 cash in exchange for common stock. 2. May 1-Signed a 2-year rental agreement on a warehouse; paid $36,000 cash in advance for the first year. 3. May 1- Purchased equipment costing $35,000. A cash payment of $12,000 was made immediately; the remainder will be paid in 60 days. 4. May 1-Paid $1,500 cash for a one-year insurance policy on the equipment. 5. May 2-Purchased basic office supplies for $400 cash. 6. May 3-Purchased office supplies from Office Depot for $1,600 on account. 7. May 10 - Received $12,000 cash for services performed for a new customer. 8. May 13-Paid $600 to Office Depot for supplies purchased on account on May 3. 9. May 18-$16,000 of services were performed for B. Jones on account. 10. May 31 - Received May utility bill in the amount of $400, to be paid next month. 11. May 31 - Paid the monthly salaries of the two employees, totalling $7,600. 12. May 31 - Received $6,000 from B. Jones on account. Home Services Chart of Accounts 101 - Cash 112- Accounts Receivable 120-Supplies 136- Prepaid Rent 140-Prepaid Insurance 157-Equipment 201-Accounts Payable 311-Common Stock 400-Service Revenue 726-Salaries & Wages Expense 729-Rent Expense 730-Utility Expense
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Cash
Date
Accounts Receivable
Date
Supplies
Date
Prepaid Rent
Date
Prepaid Insurance
Date
Equipment
Date
Explanation
Accounts Payable
Date
Explanation
Explanation
Explanation
Explanation
Explanation
Explanation
Ref.
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Ref.
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Ref.
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Debit
Debit
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Credit
Credit
Credit
Credit
Credit
Credit
Credit
No. 101
Balance
No. 112
Balance
No. 120
Balance
136
Balance
140
Balance
No. 157
Balance
No. 201
Balance
Transcribed Image Text:5 6 7 " 8 9 10 11 12 14 13 W 14 15 10 16 17 17 18 19 20 21 22 22 23 24 25 06 26 27 20 28 29 30 31 32 33 34 35 35 20 36 37 38 39 40 Date General Journal Account Titles and Explanation Ref. Debit Credit = J1 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 27 28 29 30 31 32 33 34 35 36 37 38 39 40 Cash Date Accounts Receivable Date Supplies Date Prepaid Rent Date Prepaid Insurance Date Equipment Date Explanation Accounts Payable Date Explanation Explanation Explanation Explanation Explanation Explanation Ref. Ref. Ref. Ref. Ref. Ref. Ref. Debit Debit Debit Debit Debit Debit Debit Credit Credit Credit Credit Credit Credit Credit No. 101 Balance No. 112 Balance No. 120 Balance 136 Balance 140 Balance No. 157 Balance No. 201 Balance
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