6-5 B MASTERY PROBLEM

6-5 B MASTERY PROBLEM Completing a work sheet On June 30 of the current year, Gomezco has the following general ledger accounts and balances. The busi...

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6-5 B

MASTERY PROBLEM Completing a work sheet On June 30 of the current year, Gomezco has the following general ledger accounts and balances. The business uses a monthly fiscal period. A work sheet is provided. Account Titles

Account Balances Debit

Cash Petty Cash Accounts Receivable—April Collins Supplies Prepaid Insurance

$ 3,716.00 200.00 1,126.00 735.00 1,200.00

Accounts Payable—Matrix Supplies

$

Juan Gomez, Capital Juan Gomez, Drawing

Credit

824.00 6,100.00

800.00

Income Summary Sales Advertising Expense

3,590.00 810.00

Insurance Expense Miscellaneous Expense Rent Expense

95.00 1,350.00

Supplies Expense Utilities Expense

482.00

Instructions: 1. Prepare the heading and trial balance on a work sheet. Total and rule the Trial Balance columns. 2. Analyze the following adjustment information into debit and credit parts. Record the adjustments on the work sheet. Adjustment Information, June 30 Supplies inventory Value of prepaid insurance

$220.00 800.00

3. Total and rule the Adjustments columns. 4. Extend the up-to-date balances to the Balance Sheet or Income Statement columns. 5. Total each column. Calculate and record the net income or net loss. Label the amount in the Account Title column. 6. Total and rule the Income Statement and Balance Sheet columns.