Answered

Luke Unlimited Company’s account balances on November 1 are as follows:
Debit Credit

Cash $7,800
Accounts Receivable 12,530
Allowance for Doubtful Accounts $740
Notes Receivable 6,000
Inventory 25,121
Prepaid Insurance 840
Office Supplies 465
Land 74,350
Buildings 66,580
Accumulated Depreciation: Buildings 21,400
Equipment 37,620
Accumulated Depreciation: Equipment 11,480
Patents 25,000
Accounts Payable 38,750
Notes Payable 2,400
Common Stock, no par 165,000
Retained Earnings, January 1 24,958
Sales Revenue 36,833
Cost of Goods Sold 32,000
Sales Salaries Expense 6,200
Office Salaries Expense 4,300
Advertising Expense 1,250
Utilities Expense 1,845
Interest Revenue 550
Interest Expense 210
During the month of November, the following transactions took place:
Date
Transaction
Nov. 2 Made cash sales of $3,400; the cost of the inventory sold was $2,040.
3 Purchased $900 of inventory for cash.
5 Sold an unused 1/2 acre of land for $4,000; the land had originally cost $3,650.
8 Purchased a 2-year comprehensive insurance policy for $528.
12 Leased an unused portion of its building to WebbCo, collecting 6 months’ rent in advance at $220 per month.
13 Made $2,300 of sales on credit to Lauren Company; the cost of the inventory sold was $1,400.
16 Collected the $200 monthly payment plus $30 interest on a customer’s note receivable.
17 Purchased $1,600 of inventory on credit from Katy Company.
20 Purchased land for a future building site. Made a $2,000 down payment and signed a 12%, 90-day, $6,000 note payable for the balance.
23 Collected the Lauren Company account for the November 13 sale.
26 Paid for the November 17 purchase of inventory.
27 Paid the city newspaper $420 for advertising that had appeared during November.
30 Paid $520 of sales salaries and $390 of office salaries.
Required:
1. Prepare general journal entries to record the preceding transactions.
2. Post to general ledger T-accounts.
3. Prepare a trial balance on November 30.

Answer :

anthougo

Answer:

Luke Unlimited Company

1. General Journal:

See attached document, as the template recorded that the characters are more than 5,000.

2. T-accounts:

Cash Account

Date      Description                   Debit       Credit

Nov. 1    Balance                       $7,800

Nov. 2   Sales Revenue             3,400

Nov. 3   Inventory                                        $900

Nov. 5   Sale of Land                4,000

Nov. 8   Prepaid Insurance                            528

Nov. 12  Deferred Rent             1,320

Nov. 16  Notes + Interest            230

Nov. 20 Land                                              2,000

Nov. 23 Accounts Receivable 2,300

Nov. 26 Accounts Payable                         1,600

Nov. 27  Advertising                                      420

Nov. 30  Sales Salaries                                 520

Nov. 30 Office Salaries                                 390

Nov. 30 Balance c/d                               $12,692

Accounts Receivable

Date      Description                   Debit       Credit

Nov. 1    Balance                       $12,530

Nov. 13  Sales Revenue              2,300

Nov. 23 Cash                                            $2,300

Nov. 30 Balance c/d                               $12,530

Allowance for Doubtful Accounts

Date      Description                   Debit       Credit

Nov. 1    Balance                                         $740

Notes Receivable

Date      Description                   Debit       Credit

Nov. 1    Balance                       $6,000

Nov. 16  Cash                                              $200

Nov. 30 Balance c/d                                $5,800

Inventory

Date      Description                   Debit       Credit

Nov. 1    Balance                       $25,121

Nov. 2   Cost of goods sold                       $2.040

Nov. 3   Cash                                 900

Nov. 13  Cost of goods sold                         1,400

Nov. 17  Accounts Payable         1,600

Nov. 30 Balance c/d                                 $24,181

Prepaid Insurance

Date      Description                   Debit       Credit

Nov. 1    Balance                       $840

Nov. 8   Cash                              528

Nov. 30 Balance c/d                                 $1,368

Office Supplies

Date      Description                   Debit       Credit

Nov. 1    Balance                       $465

Land

Date      Description                   Debit       Credit

Nov. 1    Balance                       $74,350

Nov. 5   Sale of Land                                $3,650

Nov. 20 Cash                              2,000

Nov. 20 Notes Payable              6,000

Nov. 30 Balance c/d                               $78,700

Building

Date      Description                   Debit       Credit

Nov. 1    Balance                      $66,580

Accumulated Depreciation: Building

Date      Description                   Debit       Credit

Nov. 1    Balance                                      $21,400

Equipment

Date      Description                   Debit       Credit

Nov. 1    Balance                      $37,620

Accumulated Depreciation: Equipment

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $11,480

Patents

Date      Description                   Debit       Credit

Nov. 1    Balance                      $25,000

Accounts Payable

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $38,750

Nov. 17  Inventory                                         1,600

Nov. 26 Cash                           $1,600

Nov. 30 Balance c/d                38,750

Notes Payable

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $2,400

Nov. 20 Land                                             6,000

Nov. 30 Balance c/d                $8,400

Common Stock

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $165,000

Retained Earnings

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $24,958

Sales Revenue

Date      Description                   Debit       Credit

Nov. 1    Balance                                       $36,833

Nov. 2   Cash                                                3,400

Nov. 13 Accounts Receivable                      2,300

Nov. 30 Balance c/d              $42,533

Cost of Goods Sold

Date      Description                   Debit       Credit

Nov. 1    Balance                      $32,000

Nov. 2   Inventory                        2,040

Nov. 13  Inventory                        1,400

Nov. 30 Balance c/d                               $35,440

Sales Salaries Expense

Date      Description                   Debit       Credit

Nov. 1    Balance                      $6,200

Nov. 30 Cash                               520

Nov. 30 Balance c/d                                 $6,720

Office Salaries Expense

Date      Description                   Debit       Credit

Nov. 1    Balance                      $4,300

Nov. 30 Cash                               390

Nov. 30 Balance c/d                               $4,690

Advertising Expense

Date      Description                   Debit       Credit

Nov. 1    Balance                      $1,250

Nov. 27 Cash                               420

Nov. 30 Balance c/d                               $1,670

Utilities Expense

Date      Description                   Debit       Credit

Nov. 1    Balance                      $1,845

Interest Expense

Date      Description                   Debit       Credit

Nov. 1    Balance                      $210

Interest Revenue

Date      Description                   Debit       Credit

Nov. 1    Balance                                          $550

Nov. 16  Cash                                                   30

Nov. 30 Balance c/d                  $580

Sale of Land

Date      Description                   Debit       Credit

Nov. 5   Land                            $3,650

Nov. 5   Cash                                              $4,000

Nov. 30 Balance c/d                   $350

Deferred Rent Revenue

Date      Description                   Debit       Credit

Nov. 12  Cash                                             $1,320

3. Trial Balance as of November 30:

Accounts                             Debit          Credit

Cash                                $12,692

Accounts Receivable        12,530

Allowance for Doubtful Accounts           $740

Notes Receivable              5,800

Inventory                           24,181

Prepaid Insurance              1,368

Office Supplies                     465

Land                                 78,700

Buildings                         66,580

Accumulated Depreciation: Buildings   21,400

Equipment                       37,620

Accumulated Depreciation: Equipment 11,480

Patents                            25,000

Accounts Payable                                 38,750

Notes Payable                                        8,400

Common Stock, no par                      165,000

Retained Earnings, January 1              24,958

Sales Revenue                                     42,533

Cost of Goods Sold       35,440

Sales Salaries Expense   6,720

Office Salaries Expense  4,690

Advertising Expense        1,670

Utilities Expense               1,845

Interest Revenue                                     580

Interest Expense                210

Sale of Land (Gain)                                  350

Deferred Rent Revenue                       1,320

Total                            $315,511       $315,511

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