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Homework answers / question archive / July 1 The company issued $ 600,000 of capital stock for cash

July 1 The company issued $ 600,000 of capital stock for cash

Finance

July 1 The company issued $ 600,000 of capital stock for cash.

5 Office space was rented for July, and $ 5,000 was paid for the rental.

8 Desks and chairs were purchased for the office on account, $ 28,800.

10 Equipment was purchased for $ 50,000; a note was given, to be paid in 30 days.

15 Purchased trucks for $ 150,000, paying $ 120,000 cash and giving a 60-day note to the dealer for $ 30,000.

July 18 Paid for supplies received and already used, $ 2,880.

23 Received $ 17,280 cash as service revenue.

27 Insurance expense for July was paid, $ 4,500.

30 Paid for gasoline and oil used by the truck in July, $ 576.

31 Billed customers for janitorial services rendered, $ 40,320.

31 Paid salaries for July, $ 51,840.

31 Paid utilities bills for July, $ 5,280.

31 Paid cash dividends, $ 9,600.

  1. Journalize the transactions given for July in the general journal.
  2. Post the journal entries to ledger accounts.
  3. Prepare a trial balance as of July 31.

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Journal entries    
Date Account Titles Debit Credit
1-Jul Cash 600000  
  Common stock   600000
       
5-Jul Rent expense 5000  
  Cash   5000
       
8-Jul Furniture & fixtures 28800  
  Accounts payable   28800
       
10-Jul Equipment 50000  
  30-day Note payable   50000
       
15-Jul Truck 150000  
  Cash   120000
  60-day Note payable   30000
       
18-Jul Supplies expense 2880  
  Cash   2880
       
23-Jul Cash 17280  
  Service revenue   17280
       
27-Jul Insurance expense 4500  
  Cash   4500
       
30-Jul Fuel expense 576  
  Cash   576
       
31-Jul Accounts receivable 40320  
  Service revenue   40320
       
  Salaries expense 51840  
  Cash   51840
       
  Utilities expense 5280  
  Cash   5280
       
  Dividend expense 9600  
  Cash   9600
    966076 966076
  Ledger Accounts     Net Ledger Balances
Date Account Titles Debit Credit Debit Credit
10-Jul 30-day Note payable   50000   50000
           
15-Jul 60-day Note payable   30000   30000
           
8-Jul Accounts payable   28800   28800
           
31-Jul Accounts receivable 40320   40320  
           
1-Jul Cash 600000      
5-Jul Cash   5000    
15-Jul Cash   120000    
18-Jul Cash   2880    
23-Jul Cash 17280      
27-Jul Cash   4500    
30-Jul Cash   576    
31-Jul Cash   51840    
31-Jul Cash   5280    
31-Jul Cash   9600 417604  
           
1-Jul Common stock   600000   600000
           
31-Jul Dividend expense 9600   9600  
           
10-Jul Equipment 50000   50000  
           
30-Jul Fuel expense 576   576  
           
8-Jul Furniture & fixtures 28800   28800  
           
27-Jul Insurance expense 4500   4500  
           
5-Jul Rent expense 5000   5000  
           
31-Jul Salaries expense 51840   51840  
           
23-Jul Service revenue   17280    
31-Jul Service revenue   40320   57600
           
18-Jul Supplies expense 2880   2880  
           
15-Jul Truck 150000   150000  
           
31-Jul Utilities expense 5280   5280  
    966076 966076 766400 766400
Trial Balance for July    
Account Titles Debit Credit
Cash 417604  
Accounts receivable 40320  
Equipment 50000  
Furniture & fixtures 28800  
Truck 150000  
Accounts payable   28800
30-day Note payable   50000
60-day Note payable   30000
Common stock   600000
Dividend expense 9600  
Service revenue   57600
Fuel expense 576  
Insurance expense 4500  
Rent expense 5000  
Salaries expense 51840  
Supplies expense 2880  
Utilities expense 5280  
Totals 766400 766400

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