Accounting 1
Accounting 1
Accounting 1
General Journal
Date Account Title Ref Debit Credit
April, 1 cash 101 50,000
share capital ordinary 311 50,000
(issued share for cash)
4 land 121 34,000
cash 101 34,000
(purchase land for cash)
8 advertising expense 723 1,800
account payable 201 1,800
General Ledger
cash
date explanation ref debit credit
April, 1 J1 50,000
4 J1 34,000
11 J1 1,500
13 J1 1,500
17 J1 1,400
20 J1 6,400
25 J1 30,000
30 J1 8,500
30 J1 900
land
date explanation ref debit credit
4 J1 34,000
prepaid insurance
date explanatin ref debit credit
13 J1 1,500
accounts payable
date explanation ref debit credit
8 J1 1,800
30 J1 900
dividends
date explanation ref debit credit
17 J1 1,400
service revenue
date explanation ref debit credit
20 J1 6,400
30 J1 8,500
advertising expense
date explanation ref debit credit
J1 1,800
no. 121
balance
34,000
no. 130
balance
1,500
no. 201
balance
1,800
900
no. 209
balance
30,000
no. 311
balance
50,000
no. 332
balance
1,400
no. 400
balance
6,400
14,900
no. 723
balance
1,800
no. 726
balance
1,500
P2-2A
General Journal
date account title ref debit credit
May, 1 cash 101 20,000
share capital ordinary 311 20,000
(issued shares for cash)
2 NO ENTRY
(not a transaction)
3 supplies 126 1,500
account payable 201 1,500
(purchase supplies on account)
7 rent expense 729 900
cash 101 900
(paid office rent)
11 account receivable 112 2,800
service revenue 400 2,800
(billed client for service performed)
12 cash 101 3,500
unearnead service revenue 209 3,500
(received cash for the future service)
17 cash 101 1,200
service revenue 400 1,200
(received cash for service revenue)
31 salaries and wages expense 726 2,000
cash 101 2,000
(paid salaries)
31 account payable (1,500 X 40%) 201 600
cash 101 600
(paid creditor on account)
General Ledger
cash
date explanation ref debit credit
1 J1 20,000
7 J1 900
12 J1 3,500
17 J1 1,200
31 J1 2,000
31 J1 600
account receivable
date explanation ref debit credit
11 J1 2,800
supplies
date explanation ref debit credit
3 J1 1,500
account payable
date explanation ref debit credit
3 J1 1,500
31 J1 600
service revenue
date explanation ref debit credit
11 J1 2,800
17 J1 1,200
rent expense
date explanation ref debit credit
7 J1 900
Lena Fohn
Trial Balance
31-May-17
debit credit
cash 21,200
accounts receivable 2,800
supplies 1,500
account payable 900
unearned service revenue 3,500
share capital ordinary 20,000
service revenue 4,000
salaries and wages expense 2,000
rent expense 900
28,400 28,400
no. 101
balance
20,000
19,100
22,600
23,800
21,800
21,200
no. 112
balance
2,800
no. 126
balance
1,500
no. 201
balance
1,500
900
no. 209
balance
3,500
no. 311
balance
20,000
no. 400
balance
2,800
4,000
no. 726
balance
2,000
no. 729
balance
900