Begin Reinforcement Activity 1
Begin Reinforcement Activity 1
Begin Reinforcement Activity 1
DOC. POST.
DATE ACCOUNT TITLE NO. REF.
4 Cash 110
6 Cash 110
7 4 Supplies C3 150
8 Cash 110
10 Cash 110
11 7 Supplies M1 150
14 Cash 110
16 Sales 410
18 Cash 110
20 Cash 110
22 Sales 410
24 Cash 110
26 Cash 110
28 Cash 110
29 15 Accounts Receivable - Matterhorn University S2 130
30 Sales 410
32 Cash 110
33 18 Cash R2 110
15000.00 1
15000.00 2
1800.00 3
1800.00 4
105.00 5
105.00 6
450.00 7
450.00 8
1200.00 9
1200.00 10
900.00 11
900.00 12
250.00 13
250.00 14
475.00 15
475.00 16
250.00 17
250.00 18
40.00 19
40.00 20
225.00 21
225.00 22
300.00 23
300.00 24
200.00 25
200.00 26
500.00 27
500.00 28
425.00 29
425.00 30
95.00 31
95.00 32
125.00 33
125.00 34
GENERAL JOURNAL
DOC. POST.
DATE ACCOUNT TITLE NO. REF.
2 Sales 410
4 Cash 110
5 20 Supplies M2 150
8 Cash 110
10 Cash 110
12 Sales 410
14 Cash 110
15 26 Cash R3 110
18 Cash 110
20 Sales 410
22 Cash 110
24 Cash 110
27 Cash 110
31 Sales 410
32
33
34
PAGE 2
1 2
GENERAL
DEBIT CREDIT
1020.00 1
1020.00 2
160.00 3
160.00 4
120.00 5
120.00 6
265.00 7
265.00 8
25.00 9
25.00 10
1940.00 11
1940.00 12
37.00 13
37.00 14
250.00 15
250.00 16
245.00 17
245.00 18
650.00 19
650.00 20
15.00 21
15.00 22
30.00 23
30.00 24
120.00 25
45.00 26
165.00 27
1000.00 28
1000.00 29
1355.00 30
1355.00 31
32
33
34
Reinforcement Activity 1, Part A
Extreme Adventures
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 1 G1 15000.00 15000.00
1 G1 1800.00 13200.00
2 G1 105.00 13095.00
4 G1 450.00 12645.00
4 G1 1200.00 11445.00
11 G1 250.00 11195.00
12 G1 475.00 11670.00
13 G1 250.00 11420.00
13 G1 40.00 11380.00
14 G1 300.00 11080.00
15 G1 200.00 10880.00
15 G1 500.00 10380.00
18 G1 95.00 10285.00
18 G1 125.00 10410.00
19 G2 1020.00 11430.00
20 G2 160.00 11270.00
21 G2 265.00 11005.00
25 G2 25.00 10980.00
25 G2 1940.00 12920.00
26 G2 37.00 12883.00
26 G2 250.00 13133.00
28 G2 245.00 12888.00
28 G2 650.00 13538.00
29 G2 15.00 13523.00
29 G2 30.00 13493.00
31 G2 165.00 13328.00
31 G2 1000.00 12328.00
31 G2 1355.00 13683.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 15 G1 425.00 425.00
26 G2 250.00 175.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 13 G1 225.00 225.00
18 G1 125.00 100.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 4 G1 450.00 450.00
7 G1 900.00 1350.00
20 G2 120.00 1470.00
25 G2 25.00 1495.00
29 G2 30.00 1525.00
31 G3 900.00 625.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 4 G1 1200.00 1200.00
31 G3 100.00 1100.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 7 G1 900.00 900.00
15 G1 500.00 400.00
ACCOUNT Accounts Payable - Greenway Supplies ACCOUNT NO. 220
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 20 G2 120.00 120.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 1 G1 15000.00 15000.00
31 G3 1613.00 16613.00
31 G3 1200.00 15413.00
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 15 G1 200.00 200.00
31 G2 1000.00 1200.00
31 G3 1200.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 31 G3 6090.00 6090.00
31 G3 4477.00 1613.00
31 G3 1613.00 - -
ACCOUNT Sales ACCOUNT NO. 410
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 12 G1 475.00 475.00
13 G1 225.00 700.00
15 G1 425.00 1125.00
19 G2 1020.00 2145.00
25 G2 1940.00 4085.00
28 G2 650.00 4735.00
31 G2 1355.00 6090.00
31 G3 6090.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 14 G1 300.00 300.00
31 G3 300.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 31 G3 100.00 100.00
31 G3 100.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 1 G1 1800.00 1800.00
31 G3 1800.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 13 G1 250.00 250.00
20 G2 160.00 410.00
29 G2 45.00 455.00
31 G3 455.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 31 G3 900.00 900.00
31 G3 900.00 - -
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
May 2 G1 105.00 105.00
21 G2 265.00 370.00
28 G2 245.00 615.00
31 G3 245.00 - -
5-2 Work Together, p. 128
Reconciling a bank statement and recording a bank service charge
SUBTOTAL
DEDUCT OUTSTANDING
Total bank charges è 15.00 Ck. No.
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xtreme Adventures
$ 250.00 2
$ 175.00 3
$ 100.00 4
$ 900.00 $ 625.00 5
$ 100.00 $ 1,100.00 6
$ 400.00 7
$ 120.00 8
$ 15,000.00 9
$ 1,200.00 10
11
$ 6,090.00 12
$ 300.00 13
$ 100.00 14
$ 307.00 15
$ 1,800.00 16
$ 455.00 17
$ 900.00 18
$ 615.00 19
$ 1,613.00 $ 1,613.00 21
23
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GENERAL JOURNAL
DOC. POST.
DATE ACCOUNT TITLE NO. REF.
2013 Adjusting Entries
2 Supplies 150
5 Closing Entries
6 31 Sales 410
20
21
22
23
24
25
26
27
28
29
30
31
32
33
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PAGE 3
1 2
GENERAL
DEBIT CREDIT
$ 900.00 1
$ 900.00 2
$ 100.00 3
$ 100.00 4
$ 6,090.00 6
$ 6,090.00 7
$ 4,477.00 8
$ 300.00 9
$ 100.00 10
$ 307.00 11
$ 1,800.00 12
$ 455.00 13
$ 900.00 14
$ 615.00 15
$ 1,613.00 16
$ 1,613.00 17
$ 1,200.00 18
$ 1,200.00 19
20
21
22
23
24
25
26
27
28
29
30
31
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Extreme Adventures
Income Statement
For the Month ended May 31, 2013
Revenue:
Sales
Expenses:
Advertising Expense $ 300.00
Insurance Expense $ 100.00
Miscellaneous Expense $ 307.00
Rent Expense $ 1,800.00
Repair Expense $ 455.00
Supplies Expense $ 900.00
Utilities Expense $ 615.00
Total Expenses
Net Income
% OF
SALES
$ 6,090.00 100.00%
$ 4,477.00 73.51%
$ 1,613.00 26.49%
Extreme Adventures
Balance Sheet
31-May-13
Assests Liabilities
Cash $ 13,683.00 A/P - Dunn Supplies
Petty Cash $ 250.00 A/P - Greenway Supplies
A/R - Matterhorn University $ 175.00 Total Liabilities
A/R - Midwest College $ 100.00 Owner's Equity
Supplies $ 625.00 Brian Dawson, Capital
Prepaid Insurance $ 1,100.00
Total Assests $ 15,933.00 Total Liabilities and Owner's Equity
$ 400.00
$ 120.00
$ 520.00
$ 15,413.00
$ 15,933.00
Extreme Adventures
Post-Closing Trial Balance
31-May-13
$ 400.00
$ 120.00
$ 15,413.00
$ 15,933.00