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Create a Trial Balance Sheet for the following scenerio. May 1 Mr. Wayne deposit

ID: 2561170 • Letter: C

Question

Create a Trial Balance Sheet for the following scenerio.

May 1

Mr. Wayne deposited $200,000 of his personal money into the business savings account.

2

The Corporation signs an agreement to rent an office space for $1,200 per month, with the first 6 months due at the time of signing

2

Mr. Wayne contributed a computer worth $1,500 and a desk worth $3,500 to the Corporation

2

The Corporation bought $300 worth of miscellaneous office supplies such as pens, pencils and paper

2

The Corporation bought a printer for $800

3

The Corporation paid Robin $500 to produce a commercial promoting the Corporation

4

The Corporation paid $2,300 in airfare for Mr. Wayne to attend a CPA conference in Washington DC

4

The Corporation paid $800 for a hotel in Washington DC for 4 nights so Mr. Wayne could attend the CPA conference.

6

Mr. Wayne spent $120 out of the Corporation's bank account on a pair of shoes

10

The Corporation reimbursed Mr. Wayne $1,300 for meals spent in Washington DC

15

The Corporation hires Mr. Freeze as the Senior Accountant for $25 an hour

15

Mr. Wayne bills Mr. Joker $450 for monthly bookkeeping services

15

Mr. Wayne bills Ms. Ivy $600 for monthly bookkeeping services and payroll preparation

20

Mr. Wayne bills Mr. Face $550 for preparation of his 2015 tax return.

30

The Corporation paid $200 for utilities

30

The Corporation paid $125 for the telephone service

30

The Corporation accepted a credit payment from Mr. Joker for $450, but incurred a $5 credit service fee and received $445 in cash

30

The Corporation received a notice from the Court that Mr. Face was granted bankruptcy and is not mandatory to pay his amount due.

30

The Corporation received an invoice for miscellaneous office supplies for $425

31

The Corporation billed miscellaneous clients in the total amount of $12,500.

31

The Corporation paid wages for the month of May which consisted of the following:

Wages

$2,400

Employer Payroll Taxes to be paid next month

$703

Employee taxes paid by the employer due next month

$476

Cash paid out on the 31st

$1,924

May 1

Mr. Wayne deposited $200,000 of his personal money into the business savings account.

2

The Corporation signs an agreement to rent an office space for $1,200 per month, with the first 6 months due at the time of signing

2

Mr. Wayne contributed a computer worth $1,500 and a desk worth $3,500 to the Corporation

2

The Corporation bought $300 worth of miscellaneous office supplies such as pens, pencils and paper

2

The Corporation bought a printer for $800

3

The Corporation paid Robin $500 to produce a commercial promoting the Corporation

4

The Corporation paid $2,300 in airfare for Mr. Wayne to attend a CPA conference in Washington DC

4

The Corporation paid $800 for a hotel in Washington DC for 4 nights so Mr. Wayne could attend the CPA conference.

6

Mr. Wayne spent $120 out of the Corporation's bank account on a pair of shoes

10

The Corporation reimbursed Mr. Wayne $1,300 for meals spent in Washington DC

15

The Corporation hires Mr. Freeze as the Senior Accountant for $25 an hour

15

Mr. Wayne bills Mr. Joker $450 for monthly bookkeeping services

15

Mr. Wayne bills Ms. Ivy $600 for monthly bookkeeping services and payroll preparation

20

Mr. Wayne bills Mr. Face $550 for preparation of his 2015 tax return.

30

The Corporation paid $200 for utilities

30

The Corporation paid $125 for the telephone service

30

The Corporation accepted a credit payment from Mr. Joker for $450, but incurred a $5 credit service fee and received $445 in cash

30

The Corporation received a notice from the Court that Mr. Face was granted bankruptcy and is not mandatory to pay his amount due.

30

The Corporation received an invoice for miscellaneous office supplies for $425

31

The Corporation billed miscellaneous clients in the total amount of $12,500.

31

The Corporation paid wages for the month of May which consisted of the following:

Wages

$2,400

Employer Payroll Taxes to be paid next month

$703

Employee taxes paid by the employer due next month

$476

Cash paid out on the 31st

$1,924

Explanation / Answer

Date

Particulars

Dr. Amount (Amount in $)

Cr. Amount (Amount in $)

May 1

Cash at Bank

TO Capital Account

200,000

2,00,000

2

Rent Expense

Prepaid Rent

TO Rent Payable

1,200

6,000

7,200

2

Computer

Office Equipment

TO Capital Account

1,500

3,500

5,000

2

Office Supplies

TO Cash at Bank

300

300

2

Office Equipment

TO Cash at Bank

800

800

3

Advertising Expense

TO Cash at Bank

500

500

4

Travelling Expense

TO Cash at Bank

2,300

2,300

4

Boarding & Lodging Expense

TO Cash at Bank

800

800

6

Capital Account

TO Cash at Bank

120

120

10

Travelling Expense

TO Cash at Bank

1,300

1,300

15

No Entry for hiring the accountant, wages expense will be made at the end of the month when the salary becomes due

15

Accounts Receivable

TO Revenue Account

450

450

15

Accounts Receivable

TO Revenue Account

600

600

20

Accounts Receivable

TO Revenue Account

550

550

30

Utilities Expense

TO Cash at Bank

200

200

30

Telephone Expense

TO Cash at Bank

125

125

30

Cash at Bank

Service Fee Expense

TO Accounts Receivable

445

    5

450

30

Bad Debt Account

TO Accounts Receivable

550

550

30

Office Supplies

TO Accounts Payable

425`

425

31

Accounts Receivable

TO Revenue Account

12,500

12,500

31

Salary & Wages Expense

TO Tax Payable

TO Cash at Bank

2,400

476

1,924

31

Payroll Tax Expense

TO Tax Payable

703

703

TRIAL BALANCE FOR THE PERIOD

Account Head

Debit Amount (Amount in $)

Credit Amount (Amount in $)

Capital Account

204,880

Cash at Bank

192,076

Rent Expense

1,200

Prepaid Rent

6,000

Rent Payable

7,200

Computer

1,500

Office Equipment

4,300

Office Supplies

725

Advertising Expense

500

Travelling Expense

3,600

Boarding & Lodging Expense

800

Salary & Wages Expense

2,400

Accounts Receivable

13,100

Revenue Account

14,100

Utilities Expense

200

Telephone Expense

125

Service Fee Expense

5

Bad Debt Account

550

Accounts Payable

425

Payroll Tax Expense

703

Tax Payable

1,179

TOTAL

227,784

227,784

Date

Particulars

Dr. Amount (Amount in $)

Cr. Amount (Amount in $)

May 1

Cash at Bank

TO Capital Account

200,000

2,00,000

2

Rent Expense

Prepaid Rent

TO Rent Payable

1,200

6,000

7,200

2

Computer

Office Equipment

TO Capital Account

1,500

3,500

5,000

2

Office Supplies

TO Cash at Bank

300

300

2

Office Equipment

TO Cash at Bank

800

800

3

Advertising Expense

TO Cash at Bank

500

500

4

Travelling Expense

TO Cash at Bank

2,300

2,300

4

Boarding & Lodging Expense

TO Cash at Bank

800

800

6

Capital Account

TO Cash at Bank

120

120

10

Travelling Expense

TO Cash at Bank

1,300

1,300

15

No Entry for hiring the accountant, wages expense will be made at the end of the month when the salary becomes due

15

Accounts Receivable

TO Revenue Account

450

450

15

Accounts Receivable

TO Revenue Account

600

600

20

Accounts Receivable

TO Revenue Account

550

550

30

Utilities Expense

TO Cash at Bank

200

200

30

Telephone Expense

TO Cash at Bank

125

125

30

Cash at Bank

Service Fee Expense

TO Accounts Receivable

445

    5

450

30

Bad Debt Account

TO Accounts Receivable

550

550

30

Office Supplies

TO Accounts Payable

425`

425

31

Accounts Receivable

TO Revenue Account

12,500

12,500

31

Salary & Wages Expense

TO Tax Payable

TO Cash at Bank

2,400

476

1,924

31

Payroll Tax Expense

TO Tax Payable

703

703