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On November 1, Air and Sea Travel Ltd

Accounting

On November 1, Air and Sea Travel Ltd. prepaid $5,600 for three months' rent. Give the adjusting entry to record rent expense at December 31. Include the date of the entry and an explanation. Then post all amounts to the two accounts involved, and show their balances at December 31. Air and Sea Travel adjusts the accounts only at December 31. b. On December 1, Air and Sea Travel paid $810 for supplies. At December 31, Air and Sea Travel has $520 of supplies on hand. Make the required journal entry at December 31. Then post all amounts to the accounts and show their balances at December 31. a. Prepare the adjusting journal entry to record the rent expense at December 31. (Record debits first, then credits. Enter explanations on the last line. Round your answers to the nearest dollar.) Journal Entry Date Accounts and Explanations Debit Credit Dec 31 Post the November 1 and December 31 transactions to the following T-accounts. Be sure to calculate the ending balance of the accounts. (Leave any unused cells blank.) Prepaid Rent Rent Expense Nov Dec Dec Dec Bal Bal b. Prepare the adjusting journal entry to record the supplies expense at December 31. Journal Entry Date Accounts and Explanations Debit Credit Dec 31 Post the December 1 and 31 transactions to the following T-accounts. Be sure to calculate the ending balance of the accounts. (Leave any unused cells blank.) Supplies Supplies Expense Dec Dec Dec Dec Bal Bal

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A Adjustment Entry                    
  Date Accounts and Explnation Debit Credit                
  31-Dec Rent Expenses 1867     Dr         Cr  
    Prepaid Rent(5600/3)   1867     Prepaid Rent    
    (Dec month rent accounted)       Date Particulars Amount Date Particulars Amount  
            1-Nov Cash at Bank                        5,600 30-Nov Rent Expenses(5600/3)         1,867  
                  31-Dec Rent Expenses(5600/3)         1,867  
                         
              Closing Balance                        1,866        
                         
                         
                         
            Dr         Cr  
              Rent Expenses    
            Date Particulars Amount Date Particulars Amount  
            30-Nov Pre Paid Rent                        1,867        
            31-Dec Pre Paid Rent                        1,867        
                         
              Closing Balance                        3,734        
                         
                         
                         
                         
                         
B Date Accounts and Explnation Debit Credit   Dr         Cr  
  31-Dec Supplies Expenses 290       Supplies    
    Supplies   290   Date Particulars Amount Date Particulars Amount  
    Closing Supplies:520 , Supplies Expenses recorded       1-Dec Cash at Bank                           810 31-Dec Supplies Expenses            290  
    (810-520)                    
                         
              Closing Balance                           520        
                         
                         
                         
            Dr         Cr  
              Supplies Expenses    
            Date Particulars Amount Date Particulars Amount  
            31-Dec Supplies                           290        
                         
                         
              Closing Balance                           290