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On November 2, 2006, Nicole Oliver established an interior decorating business, Devon Designs. During the remainder of the month, Nicole completed the following transactions related to the business:...

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On November 2, 2006, Nicole Oliver established an interior decorating business, Devon Designs. During the remainder of the month, Nicole completed the following transactions related to the business:
Nov. 2 Nicole transferred cash from a personal bank account to an account to be used for the business in exchange for capital stock, $15,000.
5 Paid rent for the period of November 5 to end of month, $1,750.
6 Purchased office equipment on account, $8,500.
8 Purchased a used truck for $18,000, paying $10,000 cash and giving a note payable for the remainder.
10 Purchased supplies for cash, $1,115.
12 Received cash for job completed, $7,500.
15 Paid annual premiums on property and casualty insurance, $2,400.
23 Recorded jobs completed on account and sent invoices to customers, $3,950.
24 Received an invoice for truck expenses, to be paid in December, $600.
29 Paid utilities expense, $750.
29 Paid miscellaneous expenses, $310.
30 Received cash from customers on account, $2,200.
30 Paid wages of employees, $2,700.
30 Paid creditor a portion of the amount owed for equipment purchased on November 6, $2,125.
30 Paid dividends, $1,400.
Answered Same Day Dec 25, 2021

Solution

Robert answered on Dec 25 2021
122 Votes
untitled
Page 1
Post.
Ref. Debit Credit
Page 2
Post.
Ref. Debit CreditDate
Date
JOURNAL
JOURNAL
Description
Description
Nicole Oliver, Capital 31 15,000
2006
Nov. 2 Cash 11 15,000
5 Rent Expense 53 1,750
Cash 11 1,750
6 Equipment 16 8,500
Accounts Payable 22 8,500
8 Truck 18 18,000
Cash 11 10,000
Notes Payable 21 8,000
10 Supplies 13 1,115
Cash 11 1,115
15 Prepaid Insurance 14 2,400
Cash 11 2,400
Fees Earned 41 3,950
2006
Nov. 23 Accounts Receivable 12 3,950
24 Truck Expense 55 600
Account Payable 22 600
29 Utilities Expense 54 750
Cash 11 750
29 Miscellaneous Expense 59 310
Cash 11 310
12 Cash 11 7,500
Fees Earned 41 7,500
2.
Account No. 11
Post.
Item Ref. Debit Debit Credit
Account No. 12
Post.
Item Ref. Debit Debit Credit
Balance
GENERAL LEDGER
Balance
CreditDate
Account:
Account: Cash
Accounts Receivable
Date Credit
^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^^
30 Cash 11 2,200
Accounts Receivable 12 2,200
30 Wages Expense 51 2,700
Cash 11 2700
30 ...
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