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Entries into T accounts and Trial Balance Connie Young, an architect, opened an office on October 1, 2019. During the month, she completed the following transactions connected with her professional practice:
a. Transferred cash from a personal bank account to an account to be used for the business, $36,000.
b. Paid October rent for office and workroom, $2,400.
c. Purchased used automobile for $32,800, paying $7,800 cash and giving a note payable for the remainder.
d. Purchased office and computer equipment on account, $9,000
e. Paid cash for supplies, $2,150
f. Paid cash for annual insurance policies, $4,000
g. Received cash from a client for plans delivered, $12,200.
h. Paid cash for miscellaneous expenses, $815
i. Paid cash to creditors on account, $4,500
J. Paid $5,000 on note payable.
k. Received an invoice for blueprint service, due in November, $2,890.
L Recorded fees earned on plans delivered, payment to be received in November, 18,300,
m. Paid salary of assistants, $6,450
n. Paid gas, oil, and repairs on an automobile for October, $1,020
Required:
1. Record the above transactions (in chronological order) directly in the following T accounts, without journalizing. Cash; Accounts Receivable; Supplies; Prepaid Insurance Automobiles; Equipment; Accounts Payable; Notes Payable: Connie Young, Capital; Professional Fees; Salary Expense; Blueprint Expense; Rent Expense; Automobile Expense; s Expense. To the left of each amount entered in the accounts, select the appropriate letter to identify the transaction.
2. Determine the account balances of the T accounts. Accounts containing a single entry only (such as Prepaid Insurance) do not need a balance.

Respuesta :

Answer:

         Cash

         debit                credit

a.       36,000                      

b.                               2,400

c.                               7,800

e.                               2,150

f.                                4,000

g.       12,200

h.                               815

i.                                4,500

j.                                5,000

m.                              6,450

n.                              1,020  

         13,865

         Accounts Receivable

         debit                credit

l.        18,300

         Supplies

         debit                credit

e.       2,150

         Prepaid Insurance

         debit                credit

f.        4,000

         Equipment

         debit                credit

d.       9,000                        

         Automobiles

         debit                credit

c.       32,800

         Accounts Payable

         debit                credit

d.                               9,000

i.        4,500

k.                              2,890

                                 7,390

         Notes Payable

         debit                credit

c.                                25,000

j.        5,000                          

                                  20,000

         Connie Young, Capital

         debit                credit

a.                                36,000

         Professional Fees

         debit                credit

g.                                12,200

l.                                 18,300  

                                  30,500

         Salary Expense

         debit                credit

m.      6,450

         Blueprint Expense

         debit                credit

k.       2,890

         Rent Expense

         debit                credit

b.       2,400

         Automobile Expense

         debit                credit

n.       1,020

         Miscellaneous Expense

         debit                credit

h.       815

1 and 2. Recording the transactions in T-accounts and balancing the T-accounts are as follows:

Cash

Account Titles                       Debit       Credit

a. Connie Young, Capital $36,000

b. Rent Expense                                   $2,400

c. Automobile Cash                                7,800

e. Supplies                                              2,150

f. Prepaid Insurance                              4,000

g. Professional Fees          12,200

h. Miscellaneous Expenses                     815

i. Accounts Payable                             4,500

j. Notes Payable                                   5,000

m. Salary Expense                               6,450

n. Automobile Expense                       1,020

Ending balance                              $14,065

Totals                             $48,200  $48,200

Accounts Receivable

Account Titles                  Debit       Credit

l. Accounts Receivable $18,300

Supplies

Account Titles              Debit       Credit

e. Cash                       $2,150

Prepaid Insurance

Account Titles              Debit       Credit

f. Cash                       $4,000

Automobiles

Account Titles              Debit       Credit

c. Cash                        $7,800

c. Notes Payable     $25,000

Ending balance                         $32,800

Equipment

Account Titles              Debit       Credit

d. Accounts Payable $9,000

Accounts Payable

Account Titles              Debit       Credit

d. Equipment                            $9,000

i.  Cash                      $4,500

Ending balance       $4,500

Notes Payable

Account Titles              Debit       Credit

c. Automobiles                        $25,000

j. Cash                         $5,000

Ending balance       $20,000

Connie Young, Capital

Account Titles              Debit       Credit

a. Cash                                      $36,000

Professional Fees

Account Titles              Debit       Credit

g. Cash                                       $12,200

l. Accounts Receivable               18,300

Ending balance       $30,500

Salary Expense

Account Titles              Debit       Credit

m. Cash                      $6,450

Blueprint Expense

Account Titles              Debit       Credit

k. Accounts Payable $2,890

Rent Expense

Account Titles              Debit       Credit

b. Cash                      $2,400

Automobile Expense

Account Titles              Debit       Credit

n. Cash                       $1,020

Miscellaneous Expense

Account Titles              Debit       Credit

h. Cash                          $815

Data Analysis:

a. Cash $36,000 Connie Young, Capital $36,000

b. Rent Expense $2,400 Cash $2,400

c. Automobile $32,800 Cash $7,800 Notes Payable $25,000

d. Equipment $9,000 Accounts Payable $9,000

e. Supplies $2,150 Cash $2,150

f. Prepaid Insurance $4,000 Cash $4,000

g. Cash $12,200 Professional Fees $12,200

h. Miscellaneous Expenses $815 Cash $815

i. Accounts Payable $4,500 Cash $4,500

j. Notes Payable $5,000 Cash $5,000

k. Blueprint Expense $2,890 Accounts Payable $2,890

l. Accounts Receivable $18,300 Professional Fees $18,300

m. Salary Expense $6,450 Cash $6,450

n. Automobile Expense $1,020 Cash $1,020

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