Academic Integrity: tutoring, explanations, and feedback — we don’t complete graded work or submit on a student’s behalf.

Instructions Ater the accounts have been adjusted at Apnii 30, the end of the ts

ID: 2332679 • Letter: I

Question

Instructions Ater the accounts have been adjusted at Apnii 30, the end of the tsca year, the toloning balances were taven from the ledger of Nudear Landscaping Co. Retained Earring Dividends Fees Earned Weges Expense Rert Expense Supplies Expense Miscellaneous Expense $3,484,000 30,000 1,254.000 748200 64.400 13250 8950 oumakethe tor enties requded to ce e aconihe Chatr Accounts tor exat wordling of acoont ae CHART OF ACCOUNTS Joumnevice tho foor gntries quired to close the accounta Refer o the Chat of Acpounts for exadf wort ing of accont fifles Nuclear Landscaping Co General Ledger ASSETS REVENUE 11 Cosh 12 Accounts Recevatie 13 Supplies 14 Propeid Rent 15 Land 41 Fees Earned EXPENSES 51 Wages Expense 52 Rent Expense 3 Supplies Expense 59 Miscellaneous Expense LIABILITIES 21 Accounts Payatle 22 Unearnad Fees 23 Weges Payabls RGE 11 JOURNA ACCOUNTING EQUATION POST PE CRENT IABILITIES EQUITY losing Entries EQUITY 31 Common Stock 32 Retaned Earrings 33 Dividends 34 Income Summary 12

Explanation / Answer

Answer

Note: Please check ‘Dividend’ amount below from question. I’ve entered $ 36,000 because that was I was able to read.

Date

Description

Post Ref

Debit

Credit

Asset

Liabilities

Equity

30-Apr

Fees Earned

41

$            1,254,000.00

Income Summary

34

$                               1,254,000.00

(revenue account closed)

30-Apr

Income Summary

34

$                834,800.00

Wages Expenses

51

$                                   748,200.00

Rent Expense

52

$                                     64,400.00

Supplies expense

53

$                                     13,250.00

Miscellaneous expense

59

$                                        8,950.00

(expense accounts closed)

30-Apr

Income Summary

34

$                419,200.00

Retained earnings

32

$                                  419,200.00

(Net Income balance of Income Summary closed)

30-Apr

Retained earnings

32

$                  36,000.00 [check amount from question]

Dividends

33

$                                     36,000.00 [check amount from question]

(dividend account closed)

Date

Description

Post Ref

Debit

Credit

Asset

Liabilities

Equity

30-Apr

Fees Earned

41

$            1,254,000.00

Income Summary

34

$                               1,254,000.00

(revenue account closed)

30-Apr

Income Summary

34

$                834,800.00

Wages Expenses

51

$                                   748,200.00

Rent Expense

52

$                                     64,400.00

Supplies expense

53

$                                     13,250.00

Miscellaneous expense

59

$                                        8,950.00

(expense accounts closed)

30-Apr

Income Summary

34

$                419,200.00

Retained earnings

32

$                                  419,200.00

(Net Income balance of Income Summary closed)

30-Apr

Retained earnings

32

$                  36,000.00 [check amount from question]

Dividends

33

$                                     36,000.00 [check amount from question]

(dividend account closed)