Anteneh Assignment 1
Anteneh Assignment 1
By: Anteneh
Date---------------
---------------, Ethiopia
Answer key
1. Instruction: Show your computation (NB. Neatness and clear
presentations has its own values)
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Individual assignment Financial and Managerial Accounting
5 Supplies 468 00
Account payable 468 00
10 Equipment 5000 00
Account payable 5000 00
18 Cash 2400 00
Golf revenue 2400 00
25 Dividends 2000 00
Cash 2000 00
31 Cash 1500 00
Golf revenue 1500 00
1
Individual assignment Financial and Managerial Accounting
2
2 B. Haile Resort
Work Sheet
3
Individual assignment Financial and Managerial Accounting
Accumulated 3200 00
Depreciation-equipment
Salaries payable 750 00 750 00
Interest payable 2000 00 20000
0
Haile Resort
Adjusted Balance
August 31, 2022
Debit Credit
Cash Br. 39,200
Supplies 1,300
Land 40, 000
Buildings 240,000
Accumulated Depreciation-building 9, 600
Equipment 32,000
Accumulated Depreciation- Equipment 3, 200
Accounts Payable Br. 9,000
Salaries payable 750
Interest payable 20, 000
Unearned Rent Revenue 1, 600
Mortgage Payable 108, 350
Share Capital—Ordinary
Br.352, 500 Br.152, 500
5
Soft Tech, Consulting Engineer Trial
Work Sheet
For Month Ended December 31, 2022
Account Title Trial balance Adjustments Adjusted total balance Statement of profit or Statement of financial
loss position
Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit
6
Individual assignment Financial and Managerial Accounting
332,420 00 332,420 00
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A. Income statement
Soft Tech, Consulting Engineer Trial
Income statement
For Month Ended December 31, 2022
Revenue
Service revenue 209800
Expense
Salaries and Wages Expense 61000
Rent expense 39500
Salary expense 9800
Insurance expense 960
Depreciation expense 5000
Bad debt expense 2860
Utilities Expense 2,160
Office Expense 1,440
Total expense (122720)
Net income 87080
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Individual assignment Financial and Managerial Accounting
C. Balance sheet
Soft Tech, Consulting Engineer Trial
Balance sheet
For Month Ended December 31, 2022
Account title Debit Credit
Cash
36600
Accounts Receivable
97000
Notes receivable
14400
Prepaid rent 20000
Allowance for Doubtful 4360
Accounts
Supplies
3920
Prepaid Insurance
1240
Equipment
50,000
Accumulated 17,500
Depreciation—Equipment
Notes Payable 14,400
Share, Capital 186900
Total 223160 223160
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Individual assignment Financial and Managerial Accounting
Cash 1200
14 Account receivable 4800 00
Service revenue 4800 00
21 Cash 3800 00
Account Receivable 3800 00
31 Dividend 3000 00
Cash 3000 00
1500 1200
2000 3000
4800 35000
2500
7300
45800 00 45800 00
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Individual assignment Financial and Managerial Accounting
12
Arian’s Carpet Cleaners
Work Sheet
Account Title Trial balance Adjustments Adjusted total balance Statement of profit or Statement of financial
loss position
Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit
Cash 21600 00 21600 00 2160 00
0
Accounts 3500 00 1000 00 4500 00 4500 00
receivable
Supplies 1500 00 1100 00 400 00 400 00
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Individual assignment Financial and Managerial Accounting
D. Income statement
Arian’s Carpet Cleaners
Income statement
For Month Ended March 31, 2021
Revenue
Service revenue 8300
Expense
Advertise expense 2000
Salary expense 7000
Supply expense 1100
Insurance expense 100
Depreciation expense 200
Total expense (11100)
Net Loss (2800)
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Individual assignment Financial and Managerial Accounting
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Individual assignment Financial and Managerial Accounting
G. Balance sheet
Arian’s Carpet Cleaners
Balance Sheet
For Month Ended March 31, 2021
Account title Debit Credit
Cash 21600
Accounts receivable 4500
Supplies 400
Prepaid insurance 1100
Truck 6000
Accumulated-depreciation 200
Accounts payable 3500
Salary payable 700
Arian’s, Capital 29200
Balance 33600 33600
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