PTAccounting
PTAccounting
PTAccounting
General Journal
For the month ended December 31, 20x1
Date ACCOUNTS Debit Credit
20x1
12/1 Rent Expense 100,000.00
Cash 100,000.00
Cash 350,000.00
Service Fees 350,000.00
Total 1,164,000.00 1,164,000.00
General Ledger
Cash
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/2 262,000.00 100,000.00 12/1
12/12 60,000.00 20,000.00 12/3
12/23 37,000.00 45,000.00 12/15
12/30 350,000.00 15,000.00 12/17
150,000.00
75,000.00 12/23
5,000.00 12/28
45,000.00 12/30
Balance 254,000.00
Adjustment 56,000.00
Adjusted Balance 310,000.00
Accounts Receivable
Date ACCOUNTS Debit Credit ACCOUNTS Date
Adjustment 34,000.00
Office Supplies
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/3 20,000.00
Balance 20,000.00
9,000.00 Adjustment
Adjusted Balance 11,000.00
Prepaid Insurance
Date ACCOUNTS Debit Credit ACCOUNTS Date
5,000.00 12/28
5,000.00 Balance
Computer Equipment
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/17 150,000.00
Balance 150,000.00
Interest Payable
Date ACCOUNTS Debit Credit ACCOUNTS Date
10,000.00
Utility Payable
Date ACCOUNTS Debit Credit ACCOUNTS Date
7,500.00
Service Fees
Date ACCOUNTS Debit Credit ACCOUNTS Date
262,000.00 12/2
60,000.00 12/12
37,000.00 12/23
350,000.00 12/30
709,000.00 Balance
56,000.00 Adjustment
34,000.00
Salaries Expense
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/15 45,000.00
12/23 75,000.00
12/30 45,000.00
Balance 165,000.00
Rent Expense
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/1 100,000.00
Utilities Expense
Date ACCOUNTS Debit Credit ACCOUNTS Date
12/17 15,000.00
Balance 15,000.00
Adjustment 7,500.00
Adjusted Balance 22,500.00
Depreciation Expense
Date ACCOUNTS Debit Credit ACCOUNTS Date
126,250.00
Interest Expense
Date ACCOUNTS Debit Credit ACCOUNTS Date
10,000.00
RAK N' ROLL
Unadjusted Trial Balance
For the month ended at December 30,20x1
ACCOUNTS Debit Credit
Cash 254,000.00
Prepaid Insurance 5,000.00
Computer Equipment 150,000.00
Office Supplies 20,000.00
Service Fees 709,000.00
Salaries Expense 165,000.00
Rent Expense 100,000.00
Utilities Expense 15,000.00
Total 704,000.00 714,000.00
RAK N' ROLL
Bank Reconciliation
For the month ended at December 30,20x1
Balance per books, end 594,000.00 Balance per bank statement, end 305,000.00
Add: Credit Memos 56,000.00 Add: Deposits in Transit 350,000.00
Less: Debit Memos Less: Outstanding Checks 5,000.00
LIABILITIES
Trade and Other Payables 5 17500.00
Total Current Liabilities 17500.00
EQUITY
RAK N' ROLL, Capital 272250.00
ASSETS
Note 1: Cash and Cash Equivalents
Cash 650,000.00
Cash Equivalents
Cash and Cash Equivalents 650,000.00
EXPENSES
Salaries Expense 1,155,000.00
Rent Expense 1,200,000.00
Utilities Expense 187,500.00
Insurance Expense 5,000.00
Depreciation Expense 126,250.00
Office Supplies Expense 93,000.00
Interest Expense 10,000.00
TOTAL EXPENSES 2766750.00