The following seven transactions produced the account balances shown above. a. Y. Min invested $22,000 cash in the business. b. Paid $9,670 cash for monthly rent expense for May. c. Paid $4,100 cash in advance for the annual insurance premium beginning the next period. d. Purchased office supplies for $830 cash. e. Purchased $10,100 of office equipment on credit (with accounts payable). f. Received $39,000 cash for services provided in May. g. Y. Min withdrew $3,063 cash from the company for personal use. 2. Prepare a Cash T-account for the above transactions, and compute the ending Cash balance. Code each entry with one of the transaction codes a through g. Beginning Balance Cash 0

Principles of Accounting Volume 1
19th Edition
ISBN:9781947172685
Author:OpenStax
Publisher:OpenStax
Chapter3: Analyzing And Recording Transactions
Section: Chapter Questions
Problem 17PA: Prepare journal entries to record the following transactions for the month of November: A. on first...
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The following seven transactions produced the account balances shown above.
a. Y. Min invested $22,000 cash in the business.
b. Paid $9,670 cash for monthly rent expense for May.
c. Paid $4,100 cash in advance for the annual insurance premium beginning the next period.
d. Purchased office supplies for $830 cash.
e. Purchased $10,100 of office equipment on credit (with accounts payable).
f. Received $39,000 cash for services provided in May.
g. Y. Min withdrew $3,063 cash from the company for personal use.
2. Prepare a Cash T-account for the above transactions, and compute the ending Cash balance. Code each entry with one of the
transaction codes a through g.
Beginning Balance
Cash
0
Transcribed Image Text:! Required information The following seven transactions produced the account balances shown above. a. Y. Min invested $22,000 cash in the business. b. Paid $9,670 cash for monthly rent expense for May. c. Paid $4,100 cash in advance for the annual insurance premium beginning the next period. d. Purchased office supplies for $830 cash. e. Purchased $10,100 of office equipment on credit (with accounts payable). f. Received $39,000 cash for services provided in May. g. Y. Min withdrew $3,063 cash from the company for personal use. 2. Prepare a Cash T-account for the above transactions, and compute the ending Cash balance. Code each entry with one of the transaction codes a through g. Beginning Balance Cash 0
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