Accounting
Accounting
Weddings "R" Us
Chart of Accounts
Balance Sheet Accounts Income Statement Accounts
Assets Income
No.
110 Cash
120 Accounts Receivable
130 Supplies
140 Prepaid Rent Expenses
150 Service Vehicle
160 Office Equipment
Liabilities
210 Notes Payable
220 Accounts Payable
230 Utilities Payable
Owner's Equity
310 Perez-Manalo, Capital
320 Perez-Manalo, Withdrawals
Revenues & Expenses
410 Consulting Revenues
510 Salaries Expense
520 Utilities Expense
May
1 She invested 250,000 pesos into this entity.
1 She rented an office space and paid 2 months rent in advance, 8,000 pesos
2 The owner issued a promissory note for the 210,000 pesos in Metrobank loan
2 She hired an assistant and an account executive, each with 7,800 monthly salary
4 She acquired service vehicle for 420,000 pesos
5 She acquired an office equipment from Fair and Square Emporium for P60,000
8 She purchased supplies on account for 18,000 pesos from San Jose merchandising
9 She paid San Juan Merchandising 10,000 of the amount owed
10 Coordinated and finalized simple bridal arrangements for three couples and collected fees of P8,800 per c
13 She paid salaries, 6,600 pesos
15 Received P10,000 advance fees for three clients referred.
19 Coordinated and finalized elaborate bridal arrangements for three couples and billed fees of P12,000 per couple.
25 Owner withdrew 14,000 pesos for personal use.
27 Paid salaries, P7,200
30 She received the ICC-BayanTel telephone bill, P1,400.
30 Received P24,000 from two clients for services billed last May 19.
31 Settled the electricity bill for the month, 3,000 pesos
Requirements :
Chart of Accounts J
Journal
Ledger
Trial Balance
ubleentry system will be used.
2-May NO ENTRY
Supplies
Debit Credit
8-May 18000
Prepaid Rent
Debit Credit
1-May 8,000
Service Vehicle
Debit Credit
4-May 420,000
Office Equipment
Debit Credit
5-May 60,000 60000
0
Notes Payable
Debit Credit
210000
Accounts Payable
Debit Credit
18000
45000
9-May 10000
10000 63000
-53000
Utilities Payable
Debit Credit
1,400
Perez-Manalo,Withdrawals
Debit Credit
25-May 14,000
Consulting Revenues
Debit Credit
26,400
36,000
62,400
Salaries expense
Debit Credit
13-May 6,600
27-May 7,200
13,800
Utilities Expense
Debit Credit
30-May 1,400
31-May 3,000
4,400
1-May
4-May
5-May
9-May
13-May
25-May
27-May
31-May
15-May
8-May
5-May
30-May
analo Capital
1-May
nalo,Withdrawals
10-May
19-May
Debit Credit
Cash 12,600
Accounts Receivable 26,000
Supplies 18,000
Prepaid Rent Expenses 8,000
Service Vehicle 420,000
Office Equipment 60,000
Notes Payable 210000
Accounts Payable 53000
Utilities Payable 1,400
Perez-Manalo, Capital 250,000
Perez-Manalo,Withdrawals 14,000
Consulting Revenues 62,400
Salaries Expense 13800
Utilities Expense 4400
576,800 576,800
Date Particulars PR Debit Credit
31-May Rent expense 4,000
Prepaid rent 4,000
Prepaid rent portion expired
Gross Profit
Consulting Revenues 62,400
Operatinf Expenses
Salaries Expense 15,600
Utilities Expense 4,400
Rent Expense 4,000
Depreciation Expensee, Service Vehicle 4,000
Supplies Expense 3,000
Depreciation Expensee, Office Equipment 1,000
Total Operating expense 32,000
Operating Income 30,400
Finance Cost
Interest Expense 3,500
PROFIT 26,900
Date Account titles PR Debit Credit
31-May Consulting Revenues 410 62,400
Income Summary 330 62,400
Salaries Expense
Debit Credit
15,600
Supplies Expense
Debit Credi
3,000
Rent Expense
31-May Debit Credit
4,000
Insurance Expense
Debit Credit
Utilities Expense
31-May Debit Credit
4,400
Interest Expense
Debit Credit
3,500
Perez-Manalo, Capital
Debit Credit
14,000
26,400
-12,400
Withdrawals
Debit Credit
14,000
e - Service Vehicle
e - Office Equipment
Wedding "R" us
Worksheet
May 30
Unjusted
Trial Balance Adjustments
Account Titles Debit Credit Debit Credit
Cash 2,600
Accounts receivable 36,000
Supplies 18,000 3,000
Prepaid rent 8,000 4,000
Service Vehicle 420,000
Accumulated depreciation, Service vehicle 4,000
Office Equipment 60,000
Accumulated depreciation, Office equipment 1,000
Notes payable 210,000
Accounts payable 53,000
Salaries payable 1,800
Utilities payable 1,400
Interest payable 3,500
Perez-Manalo, Capital 250,000
Perez-Manalo, Withdrawals 14,000
Income summary
Consulting revenues 62,400
Salaries expenses 13,800 1,800
Supplies Expenses 3,000
Rent expense 4,000
Utilities Expense 4,400
Depreciation expense, Service vehicle 4,000
Depreciation expense, Office equipment 1,000
Miscelleneous Expense
Interest Expense - - 3,500 -
576,800 576800 17,300 17,300
Adjusted Post Closing
Trial Balance Income Statement Balance Sheet Closing Entries Trial Balance
Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit
2,600 2,600 2,600
36,000 36,000 36,000
15,000 15,000 15,000
4,000 4,000 4,000
420,000 420,000 420,000
4,000 4,000 4,000
60,000 60,000 60,000
1,000 1,000 1,000
210,000 210,000 210,000
53,000 53,000 53,000
1,800 1,800 1,800
1,400 1,400 1,400
3,500 3,500 3,500
250,000 250,000 262,900
14,000 14,000
26,900
62,400 62,400 62,400
15,600 15,600 15,600
3,000 3,000 3,000
4,000 4,000 4,000
4,400 4,400 4,400
4,000 4,000 4,000
1,000 1,000 1,000