Using QuickBooks® Online For Accounting Solutions Manual Fourth Edition (2021) Glenn Owen
TABLE OF CONTENTS CHAPTER 1
1
QUESTIONS MATCHING
1 1
CHAPTER 2
2
QUESTIONS MATCHING
2 2
CHAPTER 3
3
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
3 3 4 6 8 10 12
CHAPTER 4
14
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
14 14 15 18 21 24 27
CHAPTER 5
30
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
30 30 31 35 40 47 53
CHAPTER 6
58
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3
58 58 59 64 69
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TABLE OF CONTENTS CASE 4 CASE 5
74 78
CHAPTER 7
82
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
82 82 83 87 93 98 102
CHAPTER 8
106
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
106 106 107 112 118 121 123
CHAPTER 9
126
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
126 126 127 132 137 142 143
CHAPTER 10
144
QUESTIONS MATCHING CASE 1 CASE 2 CASE 3 CASE 4 CASE 5
144 144 145 150 155 165 171
APPENDIX 2
178
CASE 1 CASE 2 CASE 3 CASE 4
178 187 195 203
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1
Chapter 1 Solutions Manual Chapter 1 Questions 1. QBO is limited to one company per license. QBDT can manage an unlimited number of companies. 2. No, QBO requires an Internet connection. 3. No, QBO does not require the creation of backup files. 4. Both QBO and QBDT were developed in-house by Intuit to capture and report on accounting events. 5. The process of assigning your instructor as the accountant for your company involves a brief interview in which you’ll provide your instructor’s email address and name.
Chapter 1 Matching a. b. c. d. e. f. g. h. i. j.
QBO QBDT Gear icon Welcome Guide Navigation bar Create ( ) icon Magnifying Glass Help (?) icon Manage Users Home Page
h. g. d. a. i. j. b. f. c. e.
Click to access help Click to find past transactions Provides tasks to help you get started Online version of QuickBooks Click to add your instructor as your accountant Provides links to QBO tasks and resources Windows Desktop version of QuickBooks Click to add any transaction Click to manage your subscription, users, and settings On the left of the home page, it shows a menu of items
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2
Chapter 2 Solutions Manual Chapter 2 Questions 1. Click Sales and then click Customers. 2. Open the Customer window from the navigation bar, and then click a customer name. 3. Open the Vendor window from the navigation bar, click a specific vendor name, and then click a specific bill. 4. Open the Employee window from the navigation bar, and then click Edit next to a specific employee name. 5. Bank deposits, which have not yet been recorded in QBO, are not recognized and are temporarily classified as Uncategorized Income. 6. Bank charges, which have not yet been recorded in QBO, are not recognized and are temporarily classified as Uncategorized Expense. 7. Opening the sales transaction section of QBO will provide a listing of recent sales invoices and payments. 8. Opening the expense transaction section of QBO will provide a listing of recent credit card transactions, bills, expenses, purchase orders, checks, bill payments, and cash transactions. 9. List options include chart of accounts, recurring transactions, products and services, custom form styles, payment methods, terms, classes, and attachments. 10. Click Reports, and then type Accounts payable in the reports search box.
Chapter 2 Matching a. b. c. d. e. f. g. h. i. j.
Navigation bar Amy’s Bird Sanctuary Brosnahan Insurance Agency Recognizing Uncategorized Income Uncategorized Expense Registers John Johnson Terms Chart of accounts
h. e. g. i. a. c. j. f. b. d.
An employee in the Sample Company Bank deposits not yet recognized Exist for all asset, liability, and equity accounts Specify due dates for payment to/from vendors/customers Used to access a list of sales and expense transactions A vendor in the Sample Company A listing of all accounts available Bank charges not yet recognized A customer in the Sample Company Matching a banking transaction with a QBO transaction
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3
Chapter 3 Solutions Manual Chapter 3 Questions 1. Company Settings is accessed by clicking the Gear icon and then clicking Account and Settings from the Your Company column. 2. Adding beginning balances only occurs when you are utilizing QBO for the first time and your business has been in operation for some time. 3. Click the Gear icon, click Chart of Accounts, and then click the New button in the upper righthand corner of the chart of accounts. 4. The Opening Balance Equity account is also affected when a beginning balance is entered into an account. 5. When you add a new product, you may provide an initial quantity on hand and a related as of date. You also provide the related inventory asset account, sales and purchase description information, the price, the cost, the income account, and the cost of goods sold account used. You must also identify if the item is taxable if the company collects sales tax. 6. When you add a beginning balance to accounts receivable, you must also identify the name of the customer who owes you. 7. When you add a beginning balance to accounts payable, you must also identify the name of the vendor you owe. 8. Retained Earnings is the additional account used when closing the Opening Balance Equity account. 9. Click Reports from the Navigation bar, type Balance Sheet into the Find report by name search text box, and then press [Enter]. 10. Click the balance in the account line of the Balance Sheet report to view the Transaction Report.
Chapter 3 Matching a. b. c. d. e.
Transactions report Trial Balance Journal entry Opening Balance Equity Customer
e. d. g. h. b.
f. g. h. i. j.
Vendor Product Service Account Type Detailed type example
i. a. f. j. c.
Entity to whom you sell products/services Account used to offset beginning balances adjustments Merchandise a company purchases from a vendor Efforts made by a company to add value to a customer A listing of the debit and credit balances as of a specific date Dictates where an account appears in all reports Transactions for an account for a specified period Entity from whom you purchase products/services Checking Commonly used to adjust accounts
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4
Chapter 3 Case 1 Trial Balance
Case 1 TRIAL BALANCE As of December 31, 2023 DEBIT
Checking
25,000.00
Accounts Receivable (A/R)
5,000.00
Inventory Asset
8,000.00
Prepaid Expenses
3,000.00
Furniture & Fixtures:Depreciation Furniture & Fixtures:Original cost
CREDIT
10,000.00 40,000.00
Accounts Payable (A/P)
4,500.00
Notes Payable
60,000.00
Common Stock
1,000.00
Opening Balance Equity
0.00
Retained Earnings TOTAL
5,500.00 $81,000.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
$81,000.00
5
Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
Opening Balance
Opening Balance Equity
AMOUNT
BALANCE
25,000.00
25,000.00
Checking 12/31/2023
Deposit
Total for Checking
$25,000.00
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
Total for Accounts Receivable (A/R)
5,000.00
5,000.00
$5,000.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
Total for Inventory Asset
$8,000.00
Prepaid Expenses 12/31/2023
Journal Entry
1
-Split-
Total for Prepaid Expenses
3,000.00
3,000.00
$3,000.00
Furniture & Fixtures Depreciation 12/31/2023
Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00
-10,000.00
$ -10,000.00
Original cost 12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
1
-Split-
Total for Accounts Payable (A/P)
4,500.00
4,500.00
$4,500.00
Notes Payable 12/31/2023
Journal Entry
3
Opening Balance
-Split-
Total for Notes Payable
60,000.00
60,000.00
$60,000.00
Common Stock 12/31/2023
Journal Entry
4
Opening Balance
-Split-
Total for Common Stock
1,000.00
1,000.00
$1,000.00
Opening Balance Equity 12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
-10,000.00
12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
-11,000.00
12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
29,000.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
-31,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
-27,000.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
-23,500.00
12/31/2023
Journal Entry
2
-Split-
-5,500.00
-29,000.00
12/31/2023
Inventory Starting Value
START
Inventory Asset
4,000.00
-25,000.00
12/31/2023
Deposit
Checking
25,000.00
0.00
The Water Hog - Opening inventory and value
Total for Opening Balance Equity
$0.00
Retained Earnings 12/31/2023
Journal Entry
Total for Retained Earnings
2
-Split-
5,500.00 $5,500.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
5,500.00
6
Chapter 3 Case 2 Trial Balance
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7
Transaction Detail by Account
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8
Chapter 3 Case 3 Trial Balance
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9
Transaction Detail by Account
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10
Chapter 3 Case 4
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11
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12
Chapter 3 Case 5
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13
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14
Chapter 4 Solutions Manual Chapter 4 Questions 1. 2. 3. 4. 5. 6.
From the Gear icon, click Products and Services located in the Lists column. From the icon, click Sales Receipts located in the Customers column. From the icon, click Invoice located in the Customers column. From the icon, click Receive Payment located in the Customers column. From the icon, click Bank Deposit located in the Other column. A new product is usually tracked and thus a beginning quantity may be required. A new service is not usually tracked and thus no beginning balance quantity is required. 7. A business uses sales receipts to record sales transactions on a daily basis where payment is received at the same time as a product or service is delivered. Sales invoices are used to record sales transactions where customers are granted credit terms and given some length of time to pay after a product or service is delivered.
Chapter 4 Matching a. b. c. d. e. f. g. h. i. j.
Invoice Sales receipt Product Service icon Payment from a customer Deposit Pest control Roses Cool Cars
h. g. a. e. j. d. b. f. c. i.
A service in the Sample Company Providing the bank a payment from a customer Used when recording a sale on account Used to access invoices, sales receipts, or bank deposits A customer in the Sample Company Quantities of this are not tracked Used when cash is collected at the time of a sale Cash receipts received from a sale Quantities of this are tracked A product in the Sample Company
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15
Chapter 4 Case 1 Trial Balance
Case 1 TRIAL BALANCE As of January 31, 2024
DEBIT
Checking
26,300.00
Accounts Receivable (A/R)
1,030.00
Inventory Asset
6,700.00
Prepaid Expenses
3,000.00
Undeposited Funds
5,000.00
Furniture & Fixtures:Depreciation Furniture & Fixtures:Original cost
CREDIT
10,000.00 40,000.00
Accounts Payable (A/P)
4,500.00
Notes Payable
60,000.00
Common Stock
1,000.00
Opening Balance Equity
0.00
Retained Earnings
5,500.00
Sales
2,160.00
Services
170.00
Cost of Goods Sold TOTAL
1,300.00 $83,330.00
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$83,330.00
16
Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Opening Balance Equity
25,000.00
25,000.00
Undeposited Funds
1,300.00
26,300.00
Checking 12/31/2023
Deposit
01/08/2024
Deposit
Blondie's Boards
Total for Checking
$26,300.00
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
Total for Accounts Receivable (A/R)
$1,030.00
Inventory Asset 12/31/2023
Inventory Starting Value START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
Accounts Receivable (A/R)
-500.00
6,700.00
The Water Hog
Total for Inventory Asset
$6,700.00
Prepaid Expenses 12/31/2023
Journal Entry
1
-Split-
Total for Prepaid Expenses
3,000.00
3,000.00
$3,000.00
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
Furniture & Fixtures Depreciation 12/31/2023 Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00 -10,000.00 $ -10,000.00
Original cost 12/31/2023 Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
1
-Split-
Total for Accounts Payable (A/P)
4,500.00
4,500.00
$4,500.00
Notes Payable 12/31/2023
Journal Entry
3
Opening Balance
-Split-
Total for Notes Payable
60,000.00
60,000.00
$60,000.00
Common Stock 12/31/2023
Journal Entry
4
Opening Balance
-Split-
Total for Common Stock
1,000.00
1,000.00
$1,000.00
Opening Balance Equity 12/31/2023
Inventory Starting Value START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
12/31/2023
Inventory Starting Value START
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
4,000.00 8,000.00
12/31/2023
Deposit
Checking
25,000.00
33,000.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
36,500.00
12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
26,500.00
12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
25,500.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00 -34,500.00
12/31/2023
Journal Entry
2
12/31/2023
Journal Entry
1
01/01/2024
Inventory Starting Value START
-Split-
-5,500.00 -40,000.00
Opening Balance
-Split-
40,000.00
0.00
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
$0.00
Retained Earnings 12/31/2023
Journal Entry
2
-Split-
5,500.00
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5,500.00
17 DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
Total for Retained Earnings
AMOUNT
BALANCE
$5,500.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards Rook 15
Undeposited Funds
01/04/2024
Invoice
1002
Sarah Hay
Accounts Receivable (A/R)
The Water Hog
Total for Sales
1,300.00
1,300.00
860.00
2,160.00
$2,160.00
Services 01/04/2024
Invoice
1002
Sarah Hay
Tune-Up
Accounts Receivable (A/R)
Total for Services
170.00
170.00
$170.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
Accounts Receivable (A/R)
500.00
1,300.00
Total for Cost of Goods Sold
The Water Hog
$1,300.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
18
Chapter 4 Case 2 Trial Balance
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19
Transaction Detail by Account
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20
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
21
Chapter 4 Case 3
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22
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23
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
24
Chapter 4 Case 4
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25
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
26
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
27
Chapter 4 Case 5
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28
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
29
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
30
Chapter 5 Solutions Manual Chapter 5 Questions 1. A business uses purchase orders to formally order products or services from its vendors. They are also used as a reference and control for products received. 2. From a purchase order, click in the Product/Service column on line 1 of the purchase order’s Item details section and select Add New. 3. The Item details section of the purchase order is filled out with information from the last purchase order completed for this vendor. 4. Inventory and accounts payable. 5. A listing of possible bills that can be paid. 6. Click and hold your mouse between two columns and drag to the left to decrease the width of a column and drag to the right to increase the width of a column. 7. Click the icon and then click Expense. 8. Click the icon and then click Check. 9. From a trial balance, click the checking account balance to view its transaction report. 10. From a trial balance, click the inventory account balance to view its transaction report.
Chapter 5 Matching a. b. c. d. e. f. g. h. i. j.
Purchase order Due on receipt Bill Net 30 Item detail section Category detail section Pay Bills Check Expense Vendor
e. c. f. h. j. a. d. i. b. g.
Purchases that affect inventory are recorded here An invoice sent by a vendor to a customer Purchases that don’t affect inventory are recorded here Task used to record checks in the checking account Suppliers of products and services A formal means to order products from vendors Pay a bill within 30 days after the bill date Task used to record credit card charges Terms that provide no credit Paying vendors that have billed you
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31
Chapter 5 Case 1 Trial Balance
Case 1 TRIAL BALANCE As of January 31, 2024
DEBIT
Checking
CREDIT
16,325.00
Accounts Receivable (A/R)
1,030.00
Inventory Asset
11,800.00
Prepaid Expenses
8,000.00
Supplies Asset
375.00
Undeposited Funds
5,000.00
Furniture & Fixtures:Depreciation
10,000.00
Furniture & Fixtures:Original cost
40,000.00
Accounts Payable (A/P)
7,645.00
VISA
1,800.00
Notes Payable
60,000.00
Common Stock
1,000.00
Opening Balance Equity
0.00
Retained Earnings
5,500.00
Sales
2,160.00
Services
170.00
Cost of Goods Sold
1,300.00
Rent & Lease
2,500.00
Travel
1,800.00
Utilities
145.00
TOTAL
$88,275.00
$88,275.00
Transaction Report for the Checking Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Checking Beginning Balance
25,000.00
01/08/2024
Deposit
Blondie's Boards
Checking
Undeposited Funds
1,300.00
26,300.00
01/11/2024
Check
1002
Office Depot
Checking
Supplies Asset
-375.00
25,925.00
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Checking
Accounts Payable (A/P)
-9,600.00
16,325.00
Total for Checking
$ -8,675.00
TOTAL
$ -8,675.00
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32
Transaction Report for the Inventory Asset Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
01/01/2024
Inventory Starting Value
01/02/2024 01/02/2024
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
START
Fred Rubble - Opening inventory and value
Inventory Asset
Opening Balance Equity
0.00
8,000.00
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
Opening Balance Equity
0.00
8,000.00
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Inventory Asset
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Inventory Asset
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Inventory Asset
Accounts Payable (A/P)
3,000.00
9,700.00
01/05/2024
Bill
Channel Islands
The Water Hog
Inventory Asset
Accounts Payable (A/P)
500.00
10,200.00
01/05/2024
Bill
Channel Islands
Rook 15
Inventory Asset
Accounts Payable (A/P)
1,600.00
11,800.00
Inventory Asset Beginning Balance
8,000.00
Total for Inventory Asset
$3,800.00
TOTAL
$3,800.00
Transaction Report for the Accounts Payable (A/P) Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Accounts Payable (A/P) Beginning Balance
4,500.00
01/05/2024
Bill
Channel Islands
Accounts Payable (A/P)
-Split-
5,100.00
01/08/2024
Bill
San Diego Gas & Electric
Accounts Payable (A/P)
Utilities
145.00
9,745.00
01/09/2024
Bill
Prime Properties
Accounts Payable (A/P)
-Split-
7,500.00
17,245.00
01/19/2024
Bill Payment (Check)
Channel Islands
Accounts Payable (A/P)
Checking
-9,600.00
7,645.00
1001
Total for Accounts Payable (A/P)
$3,145.00
TOTAL
$3,145.00
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9,600.00
33
Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Checking 12/31/2023
Deposit
01/08/2024
Deposit
01/11/2024
Check
01/19/2024
Bill Payment (Check)
Opening Balance Equity
25,000.00
25,000.00
Blondie's Boards
Undeposited Funds
1,300.00
26,300.00
1002
Office Depot
Supplies Asset
-375.00
25,925.00
1001
Channel Islands
Accounts Payable (A/P)
-9,600.00
16,325.00
Total for Checking
$16,325.00
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
Total for Accounts Receivable (A/R)
$1,030.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
Rook 15
Accounts Payable (A/P)
1,600.00
8,300.00
01/05/2024
Bill
Channel Islands
The Water Hog
Accounts Payable (A/P)
500.00
8,800.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Accounts Payable (A/P)
3,000.00
11,800.00
Total for Inventory Asset
$11,800.00
Prepaid Expenses 12/31/2023
Journal Entry
01/09/2024
Bill
1 Prime Properties
-Split-
3,000.00
3,000.00
Accounts Payable (A/P)
5,000.00
8,000.00
Total for Prepaid Expenses
$8,000.00
Supplies Asset 01/11/2024
Check
1002
Office Depot
Checking
Total for Supplies Asset
375.00
375.00
$375.00
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
Furniture & Fixtures Depreciation 12/31/2023 Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00
10,000.00
$10,000.00
Original cost 12/31/2023 Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
-Split-
4,500.00
4,500.00
01/05/2024
Bill
Channel Islands
-Split-
5,100.00
9,600.00
01/08/2024
Bill
San Diego Gas & Electric
Utilities
145.00
9,745.00
01/09/2024
Bill
Prime Properties
-Split-
7,500.00
17,245.00
01/19/2024
Bill Payment (Check)
Channel Islands
Checking
-9,600.00
7,645.00
Total for Accounts Payable (A/P)
1
1001
$7,645.00
VISA
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
34
DATE
01/10/2024
TRANSACTION TYPE
NUM
Expense
NAME
MEMO/DESCRIPTION
Village Travel
SPLIT
AMOUNT
BALANCE
Travel
1,800.00
1,800.00
Total for VISA
$1,800.00
Notes Payable 12/31/2023
Journal Entry
3
Opening Balance
-Split-
Total for Notes Payable
60,000.00
60,000.00
$60,000.00
Common Stock 12/31/2023
Journal Entry
4
Opening Balance
-Split-
Total for Common Stock
1,000.00
1,000.00
$1,000.00
Opening Balance Equity 12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
10,000.00
12/31/2023
Deposit
12/31/2023
Journal Entry
1
Opening Balance
Checking
25,000.00
15,000.00
-Split-
40,000.00
12/31/2023
Journal Entry
2
55,000.00
-Split-
-5,500.00
12/31/2023
Inventory Starting Value
START
49,500.00
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
53,500.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
57,500.00
12/31/2023 12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
56,500.00
Journal Entry
1
-Split-
3,500.00
60,000.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
0.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
$0.00
Retained Earnings 12/31/2023
Journal Entry
2
-Split-
Total for Retained Earnings
5,500.00
5,500.00
$5,500.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
1,300.00
1,300.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
860.00
2,160.00
Total for Sales
$2,160.00
Services 01/04/2024
Invoice
1002
Sarah Hay
Tune-Up
Accounts Receivable (A/R)
Total for Services
170.00
170.00
$170.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
500.00
1,300.00
Total for Cost of Goods Sold
$1,300.00
Rent & Lease 01/09/2024
Bill
Prime Properties
Accounts Payable (A/P)
Total for Rent & Lease
2,500.00
2,500.00
$2,500.00
Travel 01/10/2024
Expense
Village Travel
VISA
Total for Travel
1,800.00
1,800.00
$1,800.00
Utilities 01/08/2024
Bill
Total for Utilities
San Diego Gas & Electric
Accounts Payable (A/P)
145.00 $145.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
145.00
35
Chapter 5 Case 2 Trial Balance
Transaction Report for the Checking Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
36
Transaction Report for the Inventory Asset Account
Transaction Report for the Accounts Payable (A/P) Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
37
Transaction Detail by Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
38
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
39
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
40
Chapter 5 Case 3
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
41
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
42
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
43
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
44
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
45
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
46
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
47
Chapter 5 Case 4
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
48
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
49
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
50
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
51
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
52
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
53
Chapter 5 Case 5
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
54
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
55
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
56
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
57
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
58
Chapter 6 Solutions Manual Chapter 6 Questions 1. Select Check from the icon. Complete the check using a fixed asset original cost as the offsetting account. 2. Select Journal entry from the icon. Debit a fixed asset original cost account and credit Notes Payable. 3. Select Bank Deposit from the icon. Complete the deposit using common stock as the offsetting account. 4. Select Check from the icon. Complete the check using retained earnings as the offsetting account. 5. Select Bank Deposit from the icon. Complete the deposit using notes payable as the offsetting account.
Chapter 6 Matching a. b. c. d. e. f. g. h. i. j.
Operating activity Investing activity Financing activity Fixed assets Long-term investment Common stock Dividends Long-term debt Bank deposit Journal entry
d. g. f. j. h. a. e. i. c. b.
Long-term tangible property that a firm owns Distribution of earnings to shareholders A stockholders’ equity account Used to record purchase of a fixed asset for a note A five-year note payable Sales receipt A financial instrument that matures in more than one year Used to record amounts received from a note payable Sale of common stock Purchase of common stock
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
59
Chapter 6 Case 1 Trial Balance
Case 1 TRIAL BALANCE As of January 31, 2024
DEBIT
Checking
CREDIT
34,850.00
Accounts Receivable (A/R)
1,030.00
Inventory Asset
11,800.00
Prepaid Expenses
8,000.00
Supplies Asset
375.00
Undeposited Funds
5,000.00
Equipment:Original cost
3,175.00
Furniture & Fixtures:Depreciation
10,000.00
Furniture & Fixtures:Original cost
40,000.00
Investments
4,000.00
Accounts Payable (A/P)
7,645.00
VISA
1,800.00
Notes Payable
66,800.00
Common Stock
21,000.00
Opening Balance Equity
0.00
Retained Earnings
5,000.00
Sales
2,160.00
Services
170.00
Cost of Goods Sold
1,300.00
Interest Expense
600.00
Rent & Lease
2,500.00
Travel
1,800.00
Utilities
145.00
TOTAL
$114,575.00
$114,575.00
Transaction Report for the Checking Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Blondie's Boards
Checking
Undeposited Funds
1,300.00
26,300.00
-1,375.00
24,925.00
-375.00
24,550.00
Checking Beginning Balance
25,000.00
01/08/2024
Deposit
01/10/2024
Check
1003
Office Depot
Checking
Equipment:Original cost
01/11/2024
Check
1002
Office Depot
Checking
Supplies Asset
01/11/2024
Check
1004
Etrade
Checking
Investments
-4,000.00
20,550.00
01/12/2024
Deposit
Shareholders
Checking
Common Stock
20,000.00
40,550.00
01/15/2024
Check
1005
Shareholders
Checking
Retained Earnings
-500.00
40,050.00
01/16/2024
Check
1006
Rabo Bank
Checking
-Split-
-60,600.00
-20,550.00
01/16/2024
Deposit
Bank of CA
Checking
Notes Payable
65,000.00
44,450.00
01/19/2024
Bill Payment (Check)
Channel Islands
Checking
Accounts Payable (A/P)
-9,600.00
34,850.00
1001
Total for Checking
$9,850.00
TOTAL
$9,850.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
60 Transaction Report for the Equipment: Original Cost Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
01/10/2024
Check
1003
Office Depot
01/17/2024
Journal Entry
3
ACCOUNT
SPLIT
AMOUNT
BALANCE
Equipment:Original cost
Checking
1,375.00
1,375.00
Equipment:Original cost
-Split-
1,800.00
3,175.00
Equipment Original cost
Total for Original cost
$3,175.00
Total for Equipment
$3,175.00
TOTAL
$3,175.00
Transaction Report for the Notes Payable Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
01/16/2024
Check
1006
01/16/2024
Deposit
01/17/2024
Journal Entry
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Rabo Bank
Notes Payable
Checking
-60,000.00
0.00
Bank of CA
Notes Payable
Checking
65,000.00
65,000.00
Notes Payable
-Split-
1,800.00
66,800.00
Notes Payable Beginning Balance
60,000.00
3
Total for Notes Payable
$6,800.00
TOTAL
$6,800.00
Transaction Report for the Common Stock Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Common Stock
Checking
20,000.00
21,000.00
Common Stock Beginning Balance 01/12/2024
1,000.00 Deposit
Shareholders
Total for Common Stock
$20,000.00
TOTAL
$20,000.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
61 Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Opening Balance Equity
Checking 12/31/2023
Deposit
25,000.00
25,000.00
01/08/2024
Deposit
Blondie's Boards
Undeposited Funds
1,300.00
26,300.00
01/10/2024
Check
1003
Office Depot
Equipment:Original cost
-1,375.00
24,925.00
01/11/2024
Check
1004
Etrade
Investments
-4,000.00
20,925.00
01/11/2024
Check
1002
Office Depot
Supplies Asset
-375.00
20,550.00
01/12/2024
Deposit
Shareholders
Common Stock
20,000.00
40,550.00
01/15/2024
Check
Shareholders
Retained Earnings
-500.00
40,050.00
01/16/2024
Deposit
Bank of CA
Notes Payable
65,000.00
105,050.00
01/16/2024
Check
1006
Rabo Bank
-Split-
-60,600.00
44,450.00
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Accounts Payable (A/P)
-9,600.00
34,850.00
1005
Total for Checking
$34,850.00
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
Total for Accounts Receivable (A/R)
$1,030.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Accounts Payable (A/P)
3,000.00
9,700.00
01/05/2024
Bill
Channel Islands
Rook 15
Accounts Payable (A/P)
1,600.00
11,300.00
01/05/2024
Bill
Channel Islands
The Water Hog
Accounts Payable (A/P)
500.00
11,800.00
Total for Inventory Asset
$11,800.00
Prepaid Expenses 12/31/2023
Journal Entry
01/09/2024
Bill
1 Prime Properties
-Split-
3,000.00
3,000.00
Accounts Payable (A/P)
5,000.00
8,000.00
Total for Prepaid Expenses
$8,000.00
Supplies Asset 01/11/2024
Check
1002
Office Depot
Checking
Total for Supplies Asset
375.00
375.00
$375.00
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
62
Equipment Original cost 01/10/2024
Check
1003
01/17/2024
Journal Entry
3
Office Depot
Checking
1,375.00
1,375.00
-Split-
1,800.00
3,175.00
Total for Original cost
$3,175.00
Total for Equipment
$3,175.00
Furniture & Fixtures Depreciation 12/31/2023
Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00
-10,000.00
$ -10,000.00
Original cost 12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Investments 01/11/2024
Check
1004
Etrade
Checking
Total for Investments
4,000.00
4,000.00
$4,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
-Split-
4,500.00
01/05/2024
Bill
Channel Islands
-Split-
5,100.00
01/08/2024
Bill
1 San Diego Gas & Electric
Utilities
145.00
9,745.00
01/09/2024
Bill
Prime Properties
-Split-
7,500.00
17,245.00
01/19/2024
Bill Payment (Check)
Channel Islands
Checking
-9,600.00
7,645.00
1001
Total for Accounts Payable (A/P)
$7,645.00
VISA Total for VISA
$1,800.00
4,500.00 9,600.00
Notes Payable 12/31/2023
Journal Entry
3
01/16/2024
Check
1006
01/16/2024
Deposit
01/17/2024
Journal Entry
-Split-
60,000.00
Rabo Bank
Opening Balance
Checking
-60,000.00
0.00
Bank of CA
Checking
65,000.00
65,000.00
-Split-
1,800.00
66,800.00
3
Total for Notes Payable
60,000.00
$66,800.00
Common Stock 12/31/2023
Journal Entry
01/12/2024
Deposit
Total for Common Stock
4
Opening Balance Shareholders
-Split-
1,000.00
1,000.00
Checking
20,000.00
21,000.00
$21,000.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
63 Opening Balance Equity 12/31/2023
Journal Entry
2
-Split-
-5,500.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
-2,000.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
-62,000.00
12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
-63,000.00
12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
-73,000.00
12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
-33,000.00
12/31/2023
Deposit
Checking
25,000.00
-8,000.00
12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
-4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
0.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
-5,500.00
$0.00
Retained Earnings 12/31/2023
Journal Entry
2
01/15/2024
Check
1005
Shareholders
-Split-
5,500.00
5,500.00
Checking
-500.00
5,000.00
Total for Retained Earnings
$5,000.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
Total for Sales
1,300.00
1,300.00
860.00
2,160.00
$2,160.00
Services 01/04/2024
Invoice
1002
Sarah Hay
Tune-Up
Accounts Receivable (A/R)
Total for Services
170.00
170.00
$170.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
500.00
1,300.00
Total for Cost of Goods Sold
$1,300.00
Interest Expense 01/16/2024
Check
1006
Rabo Bank
Checking
Total for Interest Expense
600.00
600.00
$600.00
Rent & Lease 01/09/2024
Bill
Prime Properties
Accounts Payable (A/P)
Total for Rent & Lease
2,500.00
2,500.00
$2,500.00
Travel 01/10/2024
Expense
Village Travel
VISA
Total for Travel
1,800.00
1,800.00
$1,800.00
Utilities 01/08/2024
Bill
Total for Utilities
San Diego Gas & Electric
Accounts Payable (A/P)
145.00 $145.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
145.00
64
Chapter 6 Case 2 Trial Balance
Transaction Report for the Checking Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
65 Transaction Report for the Furniture Account
Transaction Report for the Notes Payable Account
Transaction Report for the Common Stock Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
66 Transaction Detail by Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
67
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
68
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
69
Chapter 6 Case 3 Trial Balance
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
70 Transaction Report for the Checking Account
Transaction Report for the Buildings: Original Cost Account
Transaction Report for the Notes Payable Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
71 Transaction Report for the Owners’ Equity Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
72
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
73
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
74
Chapter 6 Case 4
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
75
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
76
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
77
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
78
Chapter 6 Case 5
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
79
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
80
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
81
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
82
Chapter 7 Solutions Manual Chapter 7 Questions 1. Click the Workers and then Employees menu from the navigation bar, click the Add an Employee button, and then provide employee information. 2. Click the Gear icon, click Chart of Accounts, click New, select from the list of category types, select from the list of detail types text box, and then provide a name in the name text box. 3. Payroll (expense) and Payroll Tax Payable (liability). 4. Gross pay and employer’s portion of payroll taxes are included in the Payroll (expense) account. 5. Employee and employer’s portion of social security and Medicare taxes are included in the Payroll Tax Payable (liability) account.
Chapter 7 Matching a. 6.2% b. c. d. e. f. g. h. i. j.
1.45% Payroll Payroll tax payable QBO Payroll Gross pay Recurring transactions Transaction report Unscheduled Record as negative amounts
d. Account used to record the liability for Federal income tax withheld e. An add‐on feature to QBO b. Rate used to calculate an employee’s Medicare tax f. Hours worked times hourly rate g. Use to more efficiently record periodic payroll j. Payroll tax payable h. Accessed by clicking an amount on the trial balance i. One type of recurring event c. Account used to record all payroll expenses a. Rate used to calculate an employee’s social security tax
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
83
Chapter 7 Case 1 Trial Balance
Case 1 TRIAL BALANCE As of January 31, 2024
DEBIT
Checking
CREDIT
26,239.28
Accounts Receivable (A/R)
1,030.00
Inventory Asset
11,800.00
Prepaid Expenses
8,000.00
Supplies Asset
375.00
Undeposited Funds
5,000.00
Equipment:Original cost
3,175.00
Furniture & Fixtures:Depreciation
10,000.00
Furniture & Fixtures:Original cost
40,000.00
Investments
4,000.00
Accounts Payable (A/P)
7,645.00
VISA
1,800.00
Payroll Tax Payable
3,174.99
Notes Payable
66,800.00
Common Stock
21,000.00
Opening Balance Equity
0.00
Retained Earnings
5,000.00
Sales
2,160.00
Services
170.00
Cost of Goods Sold Interest Expense
1,300.00 600.00
Payroll
11,785.71
Rent & Lease
2,500.00
Travel
1,800.00
Utilities
145.00
TOTAL
$117,749.99
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
$117,749.99
84
Transaction Report for the Checking Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Checking Beginning Balance
25,000.00
01/08/2024
Deposit
Blondie's Boards
Checking
Undeposited Funds
1,300.00
26,300.00
01/10/2024
Check
1003
Office Depot
Checking
Equipment:Original cost
-1,375.00
24,925.00
01/11/2024
Check
1002
Office Depot
Checking
Supplies Asset
-375.00
24,550.00
01/11/2024
Check
1004
Etrade
Checking
Investments
-4,000.00
20,550.00
01/12/2024
Deposit
Shareholders
Checking
Common Stock
20,000.00
01/15/2024
Check
1005
Shareholders
Checking
Retained Earnings
-500.00
40,050.00
01/16/2024
Check
1006
Rabo Bank
Checking
-Split-
-60,600.00
-20,550.00
01/16/2024
Deposit
Bank of CA
Checking
Notes Payable
65,000.00
44,450.00
01/17/2024
Check
1007
Ben Franklin
Checking
-Split-
-3,113.22
41,336.78
01/17/2024
Check
1008
Betsy Ross
Checking
-Split-
-1,234.41
40,102.37
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Checking
Accounts Payable (A/P)
-9,600.00
30,502.37
01/31/2024
Check
1009
Ben Franklin
Checking
-Split-
-3,113.22
27,389.15
01/31/2024
Check
1010
Betsy Ross
Checking
-Split-
-1,149.87
26,239.28
Total for Checking
$1,239.28
TOTAL
$1,239.28
40,550.00
Transaction Report for the Payroll Tax Payable Account Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
01/17/2024
Check
1008
01/17/2024
Check
1007
01/17/2024
Check
01/17/2024
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Betsy Ross
Payroll Tax Payable
Ben Franklin
Payroll Tax Payable
Checking
335.09
335.09
Checking
302.82
1008
Betsy Ross
637.91
Payroll Tax Payable
Checking
120.07
Check
1007
757.98
Ben Franklin
Payroll Tax Payable
Checking
845.11
1,603.09
01/31/2024
Check
01/31/2024
Check
1010
Betsy Ross
Payroll Tax Payable
Checking
312.13
1,915.22
1009
Ben Franklin
Payroll Tax Payable
Checking
302.82
01/31/2024
2,218.04
Check
1010
Betsy Ross
Payroll Tax Payable
Checking
111.84
01/31/2024
2,329.88
Check
1009
Ben Franklin
Payroll Tax Payable
Checking
845.11
3,174.99
Payroll Tax Payable
Total for Payroll Tax Payable
$3,174.99
TOTAL
$3,174.99
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
85
Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Opening Balance Equity
Checking 12/31/2023
Deposit
25,000.00
25,000.00
01/08/2024
Deposit
Blondie's Boards
Undeposited Funds
1,300.00
26,300.00
01/10/2024
Check
1003
Office Depot
Equipment:Original cost
-1,375.00
24,925.00
01/11/2024
Check
1002
Office Depot
Supplies Asset
-375.00
24,550.00
01/11/2024
Check
1004
Etrade
Investments
-4,000.00
20,550.00
01/12/2024
Deposit
Shareholders
Common Stock
20,000.00
40,550.00
01/15/2024
Check
Shareholders
Retained Earnings
-500.00
40,050.00
01/16/2024
Deposit
Bank of CA
Notes Payable
65,000.00
105,050.00
01/16/2024
Check
1006
Rabo Bank
-Split-
-60,600.00
44,450.00
01/17/2024
Check
1008
Betsy Ross
-Split-
-1,234.41
43,215.59
01/17/2024
Check
1007
Ben Franklin
-Split-
-3,113.22
40,102.37
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Accounts Payable (A/P)
-9,600.00
30,502.37
01/31/2024
Check
1009
Ben Franklin
-Split-
-3,113.22
27,389.15
01/31/2024
Check
1010
Betsy Ross
-Split-
-1,149.87
26,239.28
1005
Total for Checking
$26,239.28
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
Total for Accounts Receivable (A/R)
$1,030.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
Rook 15
Accounts Payable (A/P)
1,600.00
8,300.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Accounts Payable (A/P)
3,000.00
11,300.00
01/05/2024
Bill
Channel Islands
The Water Hog
Accounts Payable (A/P)
500.00
11,800.00
Total for Inventory Asset
$11,800.00
Prepaid Expenses 12/31/2023
Journal Entry
01/09/2024
Bill
1 Prime Properties
-Split-
3,000.00
3,000.00
Accounts Payable (A/P)
5,000.00
8,000.00
Total for Prepaid Expenses
$8,000.00
Supplies Asset 01/11/2024
Check
1002
Office Depot
Checking
Total for Supplies Asset
375.00
375.00
$375.00
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
Equipment Original cost 01/10/2024
Check
1003
01/17/2024
Journal Entry
3
Office Depot
Checking
1,375.00
1,375.00
-Split-
1,800.00
3,175.00
Total for Original cost
$3,175.00
Total for Equipment
$3,175.00
Furniture & Fixtures Depreciation 12/31/2023
Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00
-10,000.00
$ -10,000.00
Original cost 12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Investments 01/11/2024
Check
1004
Etrade
Checking
Total for Investments
4,000.00
4,000.00
$4,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
-Split-
4,500.00
4,500.00
01/05/2024
Bill
1 Channel Islands
-Split-
5,100.00
9,600.00
01/08/2024
Bill
San Diego Gas & Electric
Utilities
145.00
9,745.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
86 DATE
TRANSACTION TYPE
01/09/2024
Bill
01/19/2024
Bill Payment (Check)
NUM
1001
NAME
SPLIT
AMOUNT
BALANCE
Prime Properties
MEMO/DESCRIPTION
-Split-
7,500.00
17,245.00
Channel Islands
Checking
-9,600.00
7,645.00
Total for Accounts Payable (A/P)
$7,645.00
VISA 01/10/2024
Expense
Village Travel
Travel
Total for VISA
1,800.00
1,800.00
$1,800.00
Payroll Tax Payable 01/17/2024
Check
1007
Ben Franklin
Checking
845.11
01/17/2024
Check
1008
Betsy Ross
Checking
120.07
965.18
01/17/2024
Check
1008
Betsy Ross
Checking
335.09
1,300.27
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
1,603.09
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
1,714.93
01/31/2024
Check
1010
Betsy Ross
Checking
312.13
2,027.06
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
2,329.88
01/31/2024
Check
1009
Ben Franklin
Checking
845.11
3,174.99
Total for Payroll Tax Payable
845.11
$3,174.99
Notes Payable 12/31/2023
Journal Entry
01/16/2024
Deposit
3
01/16/2024
Check
1006
01/17/2024
Journal Entry
3
-Split-
60,000.00
60,000.00
Bank of CA
Opening Balance
Checking
65,000.00
125,000.00
Rabo Bank
Checking
-60,000.00
65,000.00
1,800.00
66,800.00
-Split-
Total for Notes Payable
$66,800.00
Common Stock 12/31/2023
Journal Entry
01/12/2024
Deposit
4
Opening Balance Shareholders
-Split-
1,000.00
1,000.00
Checking
20,000.00
21,000.00
Total for Common Stock
$21,000.00
Opening Balance Equity 12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
-60,000.00
12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
-56,000.00
12/31/2023
Deposit
Checking
25,000.00
-31,000.00
12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
9,000.00
12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
-1,000.00
12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
-2,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
2,000.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
5,500.00
12/31/2023
Journal Entry
2
-Split-
-5,500.00
0.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
$0.00
Retained Earnings 12/31/2023
Journal Entry
2
01/15/2024
Check
1005
Shareholders
-Split-
5,500.00
5,500.00
Checking
-500.00
5,000.00
Total for Retained Earnings
$5,000.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
Total for Sales
1,300.00
1,300.00
860.00
2,160.00
$2,160.00
Services 01/04/2024
Invoice
1002
Sarah Hay
Tune-Up
Accounts Receivable (A/R)
Total for Services
170.00
170.00
$170.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
500.00
1,300.00
Total for Cost of Goods Sold
$1,300.00
Interest Expense 01/16/2024
Check
Total for Interest Expense
1006
Rabo Bank
Checking
600.00 $600.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
600.00
87
Payroll 01/17/2024
Check
1007
Ben Franklin
Checking
3,958.33
3,958.33
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
4,261.15
01/17/2024
Check
1008
Betsy Ross
Checking
1,569.50
5,830.65
01/17/2024
Check
1008
Betsy Ross
Checking
120.07
5,950.72
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
6,253.54
01/31/2024
Check
1009
Ben Franklin
Checking
3,958.33
10,211.87
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
10,323.71
01/31/2024
Check
1010
Betsy Ross
Checking
1,462.00
11,785.71
Total for Payroll
$11,785.71
Rent & Lease 01/09/2024
Bill
Prime Properties
Accounts Payable (A/P)
Total for Rent & Lease
2,500.00
2,500.00
$2,500.00
Travel 01/10/2024
Expense
Village Travel
VISA
Total for Travel
1,800.00
1,800.00
$1,800.00
Utilities 01/08/2024
Bill
San Diego Gas & Electric
Accounts Payable (A/P)
Total for Utilities
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
145.00 $145.00
145.00
88
Chapter 7 Case 2 Trial Balance
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
89
Transaction Report for the Checking Account
Transaction Report for the Payroll Tax Payable Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
90
Transaction Detail by Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
91
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
92
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
93
Chapter 7 Case 3 Trial Balance
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
94
Transaction Report for the Checking Account
Transaction Report for the Payroll Tax Payable Account
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
95
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
96
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
97
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
98
Chapter 7 Case 4
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
99
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
100
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
101
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
102
Chapter 7 Case 5
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
103
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
104
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
105
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
106
Chapter 8 Solutions Manual Chapter 8 Questions 1. Click the Gear icon, select Budgeting, and then input budget amounts. 2. Both budgets and bank reconciliations provide internal control over business activities. Significant deviations between actual and budget amounts could identify and help resolve problems. 3. Unexplained differences identified in bank reconciliations can point to possible fraud or incompetency issues. 4. Someone other than the accountant or bookkeeper who is responsible for maintaining accounting records. 5. The Budget Overview report only lists budget data. The Budget vs. Actual lists budget data compared to actual transactions inputted into QBO. 6. Use the Copy Across button to replicate amounts across several months. 7. Your account is reconciled when there is a 0.00 difference between the statement ending balance and the cleared balance shown on the bank reconciliation. 8. Click Customize to modify the Budget Overview report and then change the From: and To: dates to a month of your choice. 9. If you discover a deposit that was recorded by the bank but not recorded in the checking account (determined to be an error in the checking account), you should just correct the checking account by recording the deposit. 10. Click the Gear icon, click Reconcile, and then provide information requested.
Chapter 8 Matching a. b. c. d. e. f.
Budget Overview report Budget vs. Actual report Deposits in transit Outstanding checks Collapse Customize
e. c. f. a. d. b.
Condenses a report Do not appear on the bank statement Used to change report dates Includes only budget amounts Usually appear as checks on the next bank statement Includes both budget and actual amounts
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107
Chapter 8 Case 1 Budget Overview
Case 1 BUDGET OVERVIEW: BUDGET 1 - FY24 P&L January 2024 TOTAL
Income Sales
40,000.00
Services
3,000.00
Total Income
$43,000.00
Cost of Goods Sold Cost of Goods Sold
23,500.00
Total Cost of Goods Sold
$23,500.00
GROSS PROFIT
$19,500.00
Expenses Interest Expense
600.00
Payroll
12,000.00
Rent & Lease
2,500.00
Travel
500.00
Utilities
200.00
Total Expenses
$15,800.00
NET OPERATING INCOME
$3,700.00
NET INCOME
$3,700.00
Budget vs. Actual
Case 1 BUDGET VS. ACTUALS: BUDGET 1 - FY24 P&L January 2024 TOTAL ACTUAL
BUDGET
OVER BUDGET
% OF BUDGET
Sales
17,180.00
40,000.00
-22,820.00
42.95 %
Services
2,670.00
3,000.00
-330.00
89.00 %
Total Income
$19,850.00
$43,000.00
$ -23,150.00
46.16 %
Income
Cost of Goods Sold Cost of Goods Sold
10,400.00
23,500.00
-13,100.00
44.26 %
Total Cost of Goods Sold
$10,400.00
$23,500.00
$ -13,100.00
44.26 %
GROSS PROFIT
$9,450.00
$19,500.00
$ -10,050.00
48.46 % 100.00 %
Expenses Interest Expense
600.00
600.00
0.00
Payroll
11,785.71
12,000.00
-214.29
98.21 %
Rent & Lease
2,500.00
2,500.00
0.00
100.00 %
Travel
1,800.00
500.00
1,300.00
360.00 %
Utilities
145.00
200.00
-55.00
72.50 %
Total Expenses
$16,830.71
$15,800.00
$1,030.71
106.52 %
NET OPERATING INCOME
$ -7,380.71
$3,700.00
$ -11,080.71
-199.48 %
NET INCOME
$ -7,380.71
$3,700.00
$ -11,080.71
-199.48 %
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
108 Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Checking 12/31/2023
Deposit
01/08/2024
Deposit
Opening Balance Equity
25,000.00
25,000.00
Blondie's Boards
Undeposited Funds
1,300.00
01/10/2024
Check
26,300.00
1003
Office Depot
Equipment:Original cost
-1,375.00
01/11/2024
24,925.00
Check
1004
Etrade
Investments
-4,000.00
20,925.00
01/11/2024
Check
1002
Office Depot
Supplies Asset
-375.00
20,550.00
01/12/2024
Deposit
Shareholders
Common Stock
20,000.00
40,550.00
01/15/2024
Check
Shareholders
Retained Earnings
-500.00
40,050.00
01/16/2024
Deposit
Bank of CA
Notes Payable
65,000.00
105,050.00
01/16/2024
Check
1006
Rabo Bank
-Split-
-60,600.00
44,450.00
01/17/2024
Check
1007
Ben Franklin
-Split-
-3,113.22
41,336.78
01/17/2024
Check
1008
Betsy Ross
-Split-
-1,234.41
40,102.37
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Accounts Payable (A/P)
-9,600.00
30,502.37
01/31/2024
Check
1010
Betsy Ross
-Split-
-1,149.87
29,352.50
01/31/2024
Check
1009
Ben Franklin
-Split-
-3,113.22
26,239.28
1005
Total for Checking
$26,239.28
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
01/30/2024
Invoice
1003
Blondie's Boards
-Split-
15,020.00
16,050.00
01/31/2024
Invoice
1004
Surf Rider Foundation
Services
2,500.00
18,550.00
Total for Accounts Receivable (A/R)
$18,550.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
The Water Hog
Accounts Payable (A/P)
500.00
7,200.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Accounts Payable (A/P)
3,000.00
10,200.00
01/05/2024
Bill
Channel Islands
Rook 15
Accounts Payable (A/P)
1,600.00
11,800.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
-3,200.00
8,600.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
-2,400.00
6,200.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
-3,500.00
2,700.00
Total for Inventory Asset
$2,700.00
Prepaid Expenses 12/31/2023
Journal Entry
01/09/2024
Bill
1 Prime Properties
-Split-
3,000.00
3,000.00
Accounts Payable (A/P)
5,000.00
8,000.00
Total for Prepaid Expenses
$8,000.00
Supplies Asset 01/11/2024
Check
Total for Supplies Asset
1002
Office Depot
Checking
375.00 $375.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
375.00
109
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
Equipment Original cost 01/10/2024
Check
1003
01/17/2024
Journal Entry
3
Office Depot
Checking
1,375.00
1,375.00
-Split-
1,800.00
3,175.00
Total for Original cost
$3,175.00
Total for Equipment
$3,175.00
Furniture & Fixtures Depreciation 12/31/2023
Journal Entry
2
Opening Balance
-Split-
Total for Depreciation
-10,000.00
-10,000.00
$ -10,000.00
Original cost 12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$30,000.00
40,000.00
Investments 01/11/2024
Check
1004
Etrade
Checking
Total for Investments
4,000.00
4,000.00
$4,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
-Split-
4,500.00
4,500.00
01/05/2024
Bill
1 Channel Islands
-Split-
5,100.00
9,600.00
01/08/2024
Bill
San Diego Gas & Electric
Utilities
145.00
9,745.00
01/09/2024
Bill
Prime Properties
-Split-
7,500.00
17,245.00
01/19/2024
Bill Payment (Check)
Channel Islands
Checking
-9,600.00
7,645.00
1001
Total for Accounts Payable (A/P)
$7,645.00
VISA 01/10/2024
Expense
Village Travel
Travel
Total for VISA
1,800.00
1,800.00
$1,800.00
Payroll Tax Payable 01/17/2024
Check
1008
Betsy Ross
Checking
335.09
335.09
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
637.91
01/17/2024
Check
1008
Betsy Ross
Checking
120.07
757.98
01/17/2024
Check
1007
Ben Franklin
Checking
845.11
1,603.09
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
1,714.93
01/31/2024
Check
1010
Betsy Ross
Checking
312.13
2,027.06
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
2,329.88
01/31/2024
Check
1009
Ben Franklin
Checking
845.11
3,174.99
Total for Payroll Tax Payable
$3,174.99
Notes Payable 12/31/2023
Journal Entry
01/16/2024
Deposit
3
01/16/2024
Check
1006
01/17/2024
Journal Entry
3
-Split-
60,000.00
60,000.00
Bank of CA
Opening Balance
Checking
65,000.00
125,000.00
Rabo Bank
Checking
-60,000.00
65,000.00
1,800.00
66,800.00
-Split-
Total for Notes Payable
$66,800.00
Common Stock 12/31/2023
Journal Entry
01/12/2024
Deposit
4
Opening Balance Shareholders
-Split-
1,000.00
1,000.00
Checking
20,000.00
21,000.00
Total for Common Stock
$21,000.00
Opening Balance Equity 12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
8,000.00
12/31/2023
Deposit
Checking
25,000.00
33,000.00
12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
73,000.00
12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
63,000.00
12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
62,000.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
2,000.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
5,500.00
12/31/2023
Journal Entry
2
-Split-
-5,500.00
0.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
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$0.00
4,000.00
110
Retained Earnings 12/31/2023
Journal Entry
2
01/15/2024
Check
1005
Shareholders
-Split-
5,500.00
5,500.00
Checking
-500.00
5,000.00
Total for Retained Earnings
$5,000.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
1,300.00
1,300.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
860.00
2,160.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
3,800.00
5,960.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
5,200.00
11,160.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
6,020.00
17,180.00
Total for Sales
$17,180.00
Services 01/04/2024
Invoice
1002
Sarah Hay
Tune-Up
Accounts Receivable (A/R)
170.00
170.00
01/31/2024
Invoice
1004
Surf Rider Foundation
Consulting
Accounts Receivable (A/R)
2,500.00
2,670.00
Total for Services
$2,670.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
500.00
1,300.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
2,400.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
3,500.00
7,200.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
3,200.00
10,400.00
Total for Cost of Goods Sold
3,700.00
$10,400.00
Interest Expense 01/16/2024
Check
1006
Rabo Bank
Checking
Total for Interest Expense
600.00
600.00
$600.00
Payroll 01/17/2024
Check
1008
Betsy Ross
Checking
1,569.50
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
1,872.32
01/17/2024
Check
1007
Ben Franklin
Checking
3,958.33
5,830.65
01/17/2024
Check
1008
Betsy Ross
Checking
120.07
5,950.72
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
6,062.56
01/31/2024
Check
1010
Betsy Ross
Checking
1,462.00
7,524.56
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
7,827.38
01/31/2024
Check
1009
Ben Franklin
Checking
3,958.33
11,785.71
Total for Payroll
1,569.50
$11,785.71
Rent & Lease 01/09/2024
Bill
Prime Properties
Accounts Payable (A/P)
Total for Rent & Lease
2,500.00
2,500.00
$2,500.00
Travel 01/10/2024
Expense
Village Travel
VISA
Total for Travel
1,800.00
1,800.00
$1,800.00
Utilities 01/08/2024 Total for Utilities
Bill
San Diego Gas & Electric
Accounts Payable (A/P)
145.00 $145.00
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145.00
111 Reconciliation Report
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112
Chapter 8 Case 2 Budget Overview Report
Budget vs. Actuals Report
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113 Transaction Detail by Account
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114
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115
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
116
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
117 Reconciliation Report
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118
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119
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
120
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
121
Chapter 8 Case 4
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122
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123
Chapter 8 Case 5
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124
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
125
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
126
Chapter 9 Solutions Manual Chapter 9 Questions 1. 2. 3. 4. 5. 6. 7. 8. 9.
An unadjusted trial balance is one created before adjusting entries are recorded. An adjusted trial balance is one created after adjusting entries are recorded. Expenses are accrued so that they are recorded in the period in which they were consumed. Expenses are deferred so that they are recorded in the period in which they were consumed. Revenues are accrued so that they are recorded in the period in which they were earned. Revenues are deferred so that they are recorded in the period in which they were earned. Journal entries. Fixed assets must be depreciated over their useful life to match costs with revenues. In a journal entry, type the name of the new account in the Account column of a journal entry. If the account doesn’t exist, you will be asked if you want to add a new account and specify its category and detail type. 10. In a journal entry, type the name of the customer in the Name column of a journal entry. If the Name doesn’t exist, you will be asked if you want to add a new customer.
Chapter 9 Matching a. b. c. d. e. f. g. h. i. j.
Prepaid Expenses Accrue Unearned Revenue Defer Depreciation Expense Supplies Asset Supplies Expense Accrued Receivables Accrued Liabilities Accumulate Depreciation
e. i. h. g. j. a. c. b. f. d.
Debit this account when recording depreciation Credit this account when accruing an expense Debit this account when accruing revenue Supplies consumed Credit this account when recording depreciation Expenses not yet consumed Revenue not yet earned To increase Supplies not yet consumed To postpone
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127
Chapter 9 Case 1 Trial Balance after adjusting journal entries
Case 1 TRIAL BALANCE As of January 31, 2024
DEBIT
Checking
26,239.28
Accounts Receivable (A/R)
18,550.00
Accrued Receivable
8,500.00
Inventory Asset
2,700.00
Prepaid Expenses
7,200.00
Supplies Asset Undeposited Funds
CREDIT
75.00 5,000.00
Equipment:Accumulated Depreciation Equipment:Original cost
75.00 3,175.00
Furniture & Fixtures:Accumulated Depreciation
10,500.00
Furniture & Fixtures:Original cost
40,000.00
Investments
4,000.00
Accounts Payable (A/P)
7,645.00
VISA
1,800.00
Accrued Liabilities
150.00
Payroll Tax Payable
3,174.99
Unearned Revenue
2,500.00
Notes Payable
66,800.00
Common Stock
21,000.00
Opening Balance Equity
0.00
Retained Earnings
5,000.00
Sales
17,180.00
Services
8,670.00
Cost of Goods Sold Interest Expense
10,400.00 600.00
Payroll
11,785.71
Rent & Lease
3,300.00
Repairs & Maintenance
150.00
Supplies
300.00
Travel
1,800.00
Utilities
145.00
Depreciation Expense TOTAL
575.00 $144,494.99
$144,494.99
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128
Transaction Detail by Account Case 1 TRANSACTION DETAIL BY ACCOUNT January 2014 - December 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
SPLIT
AMOUNT
BALANCE
Opening Balance
Checking 12/31/2023
Deposit
01/08/2024
Deposit
Opening Balance Equity
25,000.00
25,000.00
Blondie's Boards
Undeposited Funds
1,300.00
01/10/2024
Check
01/11/2024
Check
26,300.00
1003
Office Depot
Equipment:Original cost
-1,375.00
24,925.00
1004
Etrade
Investments
-4,000.00
01/11/2024
Check
20,925.00
1002
Office Depot
Supplies Asset
-375.00
01/12/2024
Deposit
20,550.00
Shareholders
Common Stock
20,000.00
01/15/2024
Check
40,550.00
Shareholders
Retained Earnings
-500.00
01/16/2024
Deposit
40,050.00
Bank of CA
Notes Payable
65,000.00
105,050.00
01/16/2024
Check
01/17/2024
Check
1006
Rabo Bank
-Split-
-60,600.00
44,450.00
1007
Ben Franklin
-Split-
-3,113.22
01/17/2024
41,336.78
Check
1008
Betsy Ross
-Split-
-1,234.41
40,102.37
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Accounts Payable (A/P)
-9,600.00
30,502.37
01/31/2024
Check
1010
Betsy Ross
-Split-
-1,149.87
29,352.50
01/31/2024
Check
1009
Ben Franklin
-Split-
-3,113.22
26,239.28
1005
Total for Checking
$26,239.28
Accounts Receivable (A/R) 12/31/2023
Journal Entry
1
-Split-
5,000.00
5,000.00
01/04/2024
Invoice
1002
Sarah Hay
-Split-
1,030.00
6,030.00
01/05/2024
Payment
984
Blondie's Boards
Undeposited Funds
-5,000.00
1,030.00
01/30/2024
Invoice
1003
Blondie's Boards
-Split-
15,020.00
16,050.00
01/31/2024
Invoice
1004
Surf Rider Foundation
Services
2,500.00
18,550.00
Total for Accounts Receivable (A/R)
$18,550.00
Accrued Receivable 01/31/2024
Journal Entry
8
-Split-
Total for Accrued Receivable
8,500.00
8,500.00
$8,500.00
Inventory Asset 12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Opening Balance Equity
4,000.00
4,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Opening Balance Equity
4,000.00
8,000.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Opening Balance Equity
0.00
8,000.00
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
-800.00
7,200.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
-500.00
6,700.00
01/05/2024
Bill
Channel Islands
The Water Hog
Accounts Payable (A/P)
500.00
7,200.00
01/05/2024
Bill
Channel Islands
Rook 15
Accounts Payable (A/P)
1,600.00
8,800.00
01/05/2024
Bill
Channel Islands
Fred Rubble
Accounts Payable (A/P)
3,000.00
11,800.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
-3,200.00
8,600.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
-3,500.00
5,100.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
-2,400.00
2,700.00
Total for Inventory Asset
$2,700.00
Prepaid Expenses 12/31/2023
Journal Entry
01/09/2024
Bill
01/31/2024
Journal Entry
1 Prime Properties 5
-Split-
3,000.00
3,000.00
Accounts Payable (A/P)
5,000.00
8,000.00
-Split-
-800.00
7,200.00
Total for Prepaid Expenses
$7,200.00
Supplies Asset 01/11/2024
Check
1002
01/31/2024
Journal Entry
4
Office Depot
Checking
375.00
375.00
-Split-
-300.00
75.00
Total for Supplies Asset
$75.00
Undeposited Funds 01/03/2024
Sales Receipt
1001
Blondie's Boards
Sales
1,300.00
1,300.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
5,000.00
6,300.00
01/08/2024
Deposit
Blondie's Boards
Checking
-1,300.00
5,000.00
Total for Undeposited Funds
$5,000.00
Equipment Accumulated Depreciation 01/31/2024
Journal Entry
9
-Split-
Total for Accumulated Depreciation
-75.00
-75.00
$ -75.00
Original cost 01/10/2024
Check
1003
01/17/2024
Journal Entry
3
Office Depot
Checking
1,375.00
1,375.00
-Split-
1,800.00
3,175.00
Total for Original cost
$3,175.00
Total for Equipment
$3,100.00
Furniture & Fixtures Accumulated Depreciation 12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
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-10,000.00
129
01/31/2024
Journal Entry
9
-Split-
Total for Accumulated Depreciation
-500.00
-10,500.00
$ -10,500.00
Original cost 12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
Total for Original cost
$40,000.00
Total for Furniture & Fixtures
$29,500.00
40,000.00
Investments 01/11/2024
Check
1004
Etrade
Checking
Total for Investments
4,000.00
4,000.00
$4,000.00
Accounts Payable (A/P) 12/31/2023
Journal Entry
-Split-
4,500.00
4,500.00
01/05/2024
Bill
1 Channel Islands
-Split-
5,100.00
9,600.00
01/08/2024
Bill
San Diego Gas & Electric
Utilities
145.00
9,745.00
01/09/2024
Bill
Prime Properties
-Split-
7,500.00
17,245.00
01/19/2024
Bill Payment (Check)
Channel Islands
Checking
-9,600.00
7,645.00
1001
Total for Accounts Payable (A/P)
$7,645.00
VISA 01/10/2024
Expense
Village Travel
Travel
Total for VISA
1,800.00
1,800.00
$1,800.00
Accrued Liabilities 01/31/2024
Journal Entry
6
-Split-
Total for Accrued Liabilities
150.00
150.00
$150.00
Payroll Tax Payable 01/17/2024
Check
1008
Betsy Ross
Checking
120.07
120.07
01/17/2024
Check
1008
Betsy Ross
Checking
335.09
455.16
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
757.98
01/17/2024
Check
1007
Ben Franklin
Checking
845.11
1,603.09
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
1,714.93
01/31/2024
Check
1010
Betsy Ross
Checking
312.13
2,027.06
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
2,329.88
01/31/2024
Check
1009
Ben Franklin
Checking
845.11
3,174.99
Total for Payroll Tax Payable
$3,174.99
Unearned Revenue 01/31/2024
Journal Entry
7
-Split-
Total for Unearned Revenue
2,500.00
2,500.00
$2,500.00
Notes Payable 12/31/2023
Journal Entry
01/16/2024
Deposit
3
01/16/2024
Check
1006
01/17/2024
Journal Entry
3
-Split-
60,000.00
60,000.00
Bank of CA
Opening Balance
Checking
65,000.00
125,000.00
Rabo Bank
Checking
-60,000.00
65,000.00
1,800.00
66,800.00
-Split-
Total for Notes Payable
$66,800.00
Common Stock 12/31/2023
Journal Entry
01/12/2024
Deposit
Total for Common Stock
4
Opening Balance Shareholders
-Split-
1,000.00
1,000.00
Checking
20,000.00
21,000.00
$21,000.00
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130
Opening Balance Equity 12/31/2023
Journal Entry
4
Opening Balance
-Split-
-1,000.00
-1,000.00
12/31/2023
Journal Entry
2
Opening Balance
-Split-
-10,000.00
-11,000.00
12/31/2023
Inventory Starting Value
START
Rook 15 - Opening inventory and value
Inventory Asset
4,000.00
-7,000.00
12/31/2023
Journal Entry
1
Opening Balance
-Split-
40,000.00
33,000.00
12/31/2023
Deposit
Checking
25,000.00
58,000.00
12/31/2023
Inventory Starting Value
START
The Water Hog - Opening inventory and value
Inventory Asset
4,000.00
62,000.00
12/31/2023
Journal Entry
2
-Split-
-5,500.00
56,500.00
12/31/2023
Journal Entry
1
-Split-
3,500.00
60,000.00
12/31/2023
Journal Entry
3
Opening Balance
-Split-
-60,000.00
0.00
01/01/2024
Inventory Starting Value
START
Fred Rubble - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
California Nose Rider - Opening inventory and value
Inventory Asset
0.00
0.00
01/02/2024
Inventory Starting Value
START
808 - Opening inventory and value
Inventory Asset
0.00
0.00
Total for Opening Balance Equity
$0.00
Retained Earnings 12/31/2023
Journal Entry
2
01/15/2024
Check
1005
Shareholders
-Split-
5,500.00
5,500.00
Checking
-500.00
5,000.00
Total for Retained Earnings
$5,000.00
Sales 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
1,300.00
1,300.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
860.00
2,160.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
3,800.00
5,960.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
6,020.00
11,980.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
5,200.00
17,180.00
Total for Sales
$17,180.00
Services 01/04/2024
Invoice
1002
01/31/2024
Journal Entry
7
01/31/2024
Journal Entry
8
01/31/2024
Invoice
1004
Sarah Hay
Surf Rider Foundation
Tune-Up
Consulting
Accounts Receivable (A/R)
170.00
170.00
-Split-
-2,500.00
-2,330.00
-Split-
8,500.00
6,170.00
Accounts Receivable (A/R)
2,500.00
8,670.00
Total for Services
$8,670.00
Cost of Goods Sold 01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Undeposited Funds
800.00
800.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Accounts Receivable (A/R)
500.00
1,300.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Accounts Receivable (A/R)
3,200.00
4,500.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Accounts Receivable (A/R)
2,400.00
6,900.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Accounts Receivable (A/R)
3,500.00
10,400.00
Total for Cost of Goods Sold
$10,400.00
Interest Expense 01/16/2024
Check
1006
Rabo Bank
Checking
Total for Interest Expense
600.00
600.00
$600.00
Payroll 01/17/2024
Check
1008
Betsy Ross
Checking
120.07
120.07
01/17/2024
Check
1008
Betsy Ross
Checking
1,569.50
1,689.57
01/17/2024
Check
1007
Ben Franklin
Checking
302.82
1,992.39
01/17/2024
Check
1007
Ben Franklin
Checking
3,958.33
5,950.72
01/31/2024
Check
1009
Ben Franklin
Checking
3,958.33
9,909.05
01/31/2024
Check
1009
Ben Franklin
Checking
302.82
10,211.87
01/31/2024
Check
1010
Betsy Ross
Checking
111.84
10,323.71
01/31/2024
Check
1010
Betsy Ross
Checking
1,462.00
11,785.71
Total for Payroll
$11,785.71
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131
Rent & Lease 01/09/2024
Bill
01/31/2024
Journal Entry
Prime Properties 5
Accounts Payable (A/P) -Split-
Total for Rent & Lease
2,500.00
2,500.00
800.00
3,300.00
$3,300.00
Repairs & Maintenance 01/31/2024
Journal Entry
6
-Split-
Total for Repairs & Maintenance
150.00
150.00
$150.00
Supplies 01/31/2024
Journal Entry
4
-Split-
Total for Supplies
300.00
300.00
$300.00
Travel 01/10/2024
Expense
Village Travel
VISA
Total for Travel
1,800.00
1,800.00
$1,800.00
Utilities 01/08/2024
Bill
San Diego Gas & Electric
Accounts Payable (A/P)
Total for Utilities
145.00
145.00
$145.00
Depreciation Expense 01/31/2024
Journal Entry
Total for Depreciation Expense
9
-Split-
575.00 $575.00
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575.00
132
Chapter 9 Case 2 Trial Balance after adjusting entries
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133
Transaction Detail by Account
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134
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
135
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
136
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
137
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
138
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
139
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
140
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
141
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
142
Chapter 9 Case 4
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143
Chapter 9 Case 5
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144
Chapter 10 Solutions Manual Chapter 10 Questions 1. Paulsen Medical Supplies 2. Design 3. Fountain pump 4. Robertson & Associates 5. 25 6. $0.75 7. Red Rock Diner 8. $3,756.02 9. $761.23 10. $15,662.50
Chapter 10 Matching a. b. c. d. e. f. g. h. i. j.
Income statement Balance sheet Statement of cash flows AR aging report AP aging report Inventory valuation report Profit and loss report To view a transaction report To view a source document % of income check box
i. h. j. e. a. c. f. b. g. d.
Click on an event in any transaction report Click an account on any report Click to add a new column in a report Reflects unpaid bills for the current period Reports revenues and expenses Includes operating, investing, and financing activities Reports inventory quantities on hand Reports assets, liabilities, and equities Another name for the income statement Reflects unpaid invoices for the current period
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145
Chapter 10 Case 1 1.
Case 1 PROFIT AND LOSS January 2024
TOTAL JAN 2024
% OF INCOME
Sales
17,180.00
66.46 %
Services
8,670.00
33.54 %
Total Income
$25,850.00
100.00 %
Income
Cost of Goods Sold Cost of Goods Sold
10,400.00
40.23 %
Total Cost of Goods Sold
$10,400.00
40.23 %
GROSS PROFIT
$15,450.00
59.77 %
Expenses Interest Expense
600.00
2.32 %
Payroll
11,785.71
45.59 %
Rent & Lease
3,300.00
12.77 %
Repairs & Maintenance
150.00
0.58 %
Supplies
300.00
1.16 %
Travel
1,800.00
6.96 %
Utilities
145.00
0.56 %
Total Expenses
$18,080.71
69.94 %
NET OPERATING INCOME
$ -2,630.71
-10.18 % 2.22 %
Other Expenses Depreciation Expense
575.00
Total Other Expenses
$575.00
2.22 %
NET OTHER INCOME
$ -575.00
-2.22 %
$ -3,205.71
-12.40 %
NET INCOME
2. Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
01/03/2024
Sales Receipt
1001
Blondie's Boards
Rook 15
Sales
Undeposited Funds
1,300.00
1,300.00
01/04/2024
Invoice
1002
Sarah Hay
The Water Hog
Sales
Accounts Receivable (A/R)
860.00
2,160.00
01/30/2024
Invoice
1003
Blondie's Boards
Rook 15
Sales
Accounts Receivable (A/R)
5,200.00
7,360.00
01/30/2024
Invoice
1003
Blondie's Boards
Fred Rubble
Sales
Accounts Receivable (A/R)
3,800.00
11,160.00
01/30/2024
Invoice
1003
Blondie's Boards
The Water Hog
Sales
Accounts Receivable (A/R)
6,020.00
17,180.00
Sales
Total for Sales
$17,180.00
TOTAL
$17,180.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
146
3.
Case 1 BALANCE SHEET As of January 31, 2024
TOTAL AS OF JAN 31, 2024
% OF COLUMN
Checking
26,239.28
25.02 %
Total Bank Accounts
$26,239.28
25.02 %
Accounts Receivable (A/R)
18,550.00
17.69 %
Total Accounts Receivable
$18,550.00
17.69 %
Accrued Receivable
8,500.00
8.11 %
Inventory Asset
2,700.00
2.57 %
Prepaid Expenses
7,200.00
6.87 %
75.00
0.07 %
ASSETS Current Assets Bank Accounts
Accounts Receivable
Other Current Assets
Supplies Asset Undeposited Funds
5,000.00
4.77 %
Total Other Current Assets
$23,475.00
22.39 %
Total Current Assets
$68,264.28
65.10 %
Fixed Assets Equipment Accumulated Depreciation
-75.00
-0.07 %
Original cost
3,175.00
3.03 %
Total Equipment
3,100.00
2.96 %
Accumulated Depreciation
-10,500.00
-10.01 %
Original cost
40,000.00
38.14 %
Total Furniture & Fixtures
29,500.00
28.13 %
Total Fixed Assets
$32,600.00
31.09 %
Investments
4,000.00
3.81 %
Total Other Assets
$4,000.00
3.81 %
$104,864.28
100.00 %
Accounts Payable (A/P)
7,645.00
7.29 %
Total Accounts Payable
$7,645.00
7.29 %
VISA
1,800.00
1.72 %
Total Credit Cards
$1,800.00
1.72 %
150.00
0.14 %
Furniture & Fixtures
Other Assets
TOTAL ASSETS LIABILITIES AND EQUITY Liabilities Current Liabilities Accounts Payable
Credit Cards
Other Current Liabilities Accrued Liabilities
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147
TOTAL AS OF JAN 31, 2024
% OF COLUMN
Payroll Tax Payable
3,174.99
3.03 %
Unearned Revenue
2,500.00
2.38 %
Total Other Current Liabilities
$5,824.99
5.55 %
Total Current Liabilities
$15,269.99
14.56 %
Long-Term Liabilities Notes Payable
66,800.00
63.70 %
Total Long-Term Liabilities
$66,800.00
63.70 %
Total Liabilities
$82,069.99
78.26 %
21,000.00
20.03 %
0.00
0.00 %
Equity Common Stock Opening Balance Equity Retained Earnings
5,000.00
4.77 %
Net Income
-3,205.71
-3.06 %
Total Equity
$22,794.29
21.74 %
TOTAL LIABILITIES AND EQUITY
$104,864.28
100.00 %
4. Case 1 TRANSACTION REPORT January 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
Blondie's Boards
Checking
Undeposited Funds
1,300.00
26,300.00
Checking Beginning Balance
25,000.00
01/08/2024
Deposit
01/10/2024
Check
1003
Office Depot
Checking
Equipment:Original cost
-1,375.00
24,925.00
01/11/2024
Check
1002
Office Depot
Checking
Supplies Asset
-375.00
24,550.00
01/11/2024
Check
1004
Etrade
Checking
Investments
-4,000.00
20,550.00
01/12/2024
Deposit
Shareholders
Checking
Common Stock
20,000.00
40,550.00
01/15/2024
Check
1005
Shareholders
Checking
Retained Earnings
-500.00
40,050.00
01/16/2024
Check
1006
Rabo Bank
Checking
-Split-
-60,600.00
-20,550.00
01/16/2024
Deposit
Bank of CA
Checking
Notes Payable
65,000.00
44,450.00
01/17/2024
Check
1007
Ben Franklin
Checking
-Split-
-3,113.22
41,336.78
01/17/2024
Check
1008
Betsy Ross
Checking
-Split-
-1,234.41
40,102.37
01/19/2024
Bill Payment (Check)
1001
Channel Islands
Checking
Accounts Payable (A/P)
-9,600.00
30,502.37
01/31/2024
Check
1009
Ben Franklin
Checking
-Split-
-3,113.22
27,389.15
01/31/2024
Check
1010
Betsy Ross
Checking
-Split-
-1,149.87
26,239.28
Total for Checking
$1,239.28
TOTAL
$1,239.28
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148
Case 1
5.
STATEMENT OF CASH FLOWS January 2024
TOTAL
OPERATING ACTIVITIES Net Income
-3,205.71
Adjustments to reconcile Net Income to Net Cash provided by operations: Accounts Receivable (A/R)
-13,550.00
Accrued Receivable
-8,500.00
Inventory Asset
5,300.00
Prepaid Expenses
-4,200.00
Supplies Asset
-75.00
Equipment:Accumulated Depreciation
75.00
Furniture & Fixtures:Accumulated Depreciation
500.00
Accounts Payable (A/P)
3,145.00
VISA
1,800.00
Accrued Liabilities
150.00
Payroll Tax Payable
3,174.99
Unearned Revenue
2,500.00
Total Adjustments to reconcile Net Income to Net Cash provided by operations:
-9,680.01
Net cash provided by operating activities
$ -12,885.72
INVESTING ACTIVITIES Equipment:Original cost
-3,175.00
Investments
-4,000.00
Net cash provided by investing activities
$ -7,175.00
FINANCING ACTIVITIES Notes Payable
6,800.00
Common Stock
20,000.00
Opening Balance Equity
0.00
Retained Earnings
-500.00
Net cash provided by financing activities
$26,300.00
NET CASH INCREASE FOR PERIOD
$6,239.28
Cash at beginning of period
25,000.00
CASH AT END OF PERIOD
$31,239.28
6. Case 1 TRANSACTION REPORT January 2024
DATE
NUM
NAME
ACCOUNT
SPLIT
AMOUNT
01/04/2024
TRANSACTION TYPE
Invoice
1002
Sarah Hay
MEMO/DESCRIPTION
Accounts Receivable (A/R)
-Split-
1,030.00
BALANCE
1,030.00
01/05/2024
Payment
984
Blondie's Boards
Accounts Receivable (A/R)
Undeposited Funds
-5,000.00
-3,970.00
01/30/2024
Invoice
1003
Blondie's Boards
Accounts Receivable (A/R)
-Split-
15,020.00
11,050.00
01/31/2024
Invoice
1004
Surf Rider Foundation
Accounts Receivable (A/R)
Services
2,500.00
13,550.00
Accounts Receivable (A/R)
Total for Accounts Receivable (A/R)
$13,550.00
TOTAL
$13,550.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
149
7.
Case 1 A/R AGING SUMMARY As of January 31, 2024
CURRENT
1 - 30
31 - 60
61 - 90
91 AND OVER
TOTAL
Blondie's Boards
15,020.00
$15,020.00
Sarah Hay
1,030.00
$1,030.00
Surf Rider Foundation
2,500.00
TOTAL
$2,500.00
$18,550.00
$0.00
8.
$0.00
$0.00
$0.00
$18,550.00
Case 1 A/P AGING SUMMARY As of January 31, 2024
CURRENT
Prime Properties San Diego Gas & Electric TOTAL
1 - 30
31 - 60
61 - 90
91 AND OVER
7,500.00 145.00 $0.00
$7,645.00
TOTAL
$7,500.00 $145.00 $0.00
$0.00
$0.00
$7,645.00
Case 1
9.
INVENTORY VALUATION SUMMARY As of January 31, 2024
QTY
ASSET VALUE
808
SKU
0.00
0.00
California Nose Rider
0.00
0.00
Fred Rubble
1.00
600.00
600.00
Rook 15
4.00
1,600.00
400.00
The Water Hog
1.00
500.00
500.00
TOTAL
$2,700.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
CALC. AVG
150
Chapter 10 Case 2 1.
2.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
151
3.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
152
4.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
153
5.
6.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
154
7.
8.
9.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
155
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
156
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
157
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
158
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
159
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
160
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
161
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
162
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
163
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
164
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
165
Chapter 10 Case 4 1.
2.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
166
3.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
167
4.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
168
5.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
169
6.
7.
8.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
170
9.
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
171
Chapter 10 Case 5
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
172
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
173
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
174
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
175
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
176
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
177
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
178
Appendix 2 - Comprehensive Problem Solutions Case 1 Comprehensive Problem Solution Profit and Loss Report
Case 1 PROFIT AND LOSS February 1-28, 2024
TOTAL FEB 1-28, 2024
% OF INCOME
Sales
40,660.00
75.96 %
Services
12,870.00
24.04 %
Total Income
$53,530.00
100.00 %
Income
Cost of Goods Sold Cost of Goods Sold
24,500.00
45.77 %
Total Cost of Goods Sold
$24,500.00
45.77 %
GROSS PROFIT
$29,030.00
54.23 %
Expenses Interest Expense
325.00
0.61 %
Payroll
13,421.46
25.07 %
Rent & Lease
3,300.00
6.16 %
Supplies
250.00
0.47 %
Travel
1,225.00
2.29 %
Utilities
150.00
0.28 %
Total Expenses
$18,671.46
34.88 %
NET OPERATING INCOME
$10,358.54
19.35 %
Depreciation Expense
675.00
1.26 %
Total Other Expenses
$675.00
1.26 %
Other Expenses
NET OTHER INCOME
$ -675.00
-1.26 %
NET INCOME
$9,683.54
18.09 %
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
179
Appendix 2 - Comprehensive Problem Solutions Sales Transaction Report Case 1 TRANSACTION REPORT February 1-28, 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
02/05/2024
Sales Receipt
1005
Awesome Surf
Rook 15
Sales
Undeposited Funds
1,950.00
1,950.00
02/05/2024
Sales Receipt
1005
Awesome Surf
The Water Hog
Sales
Undeposited Funds
860.00
02/06/2024
Invoice
1006
Surf Rider Foundation
Rook 15
Sales
Accounts Receivable (A/R)
650.00
3,460.00
02/27/2024
Invoice
1007
Blazing Boards
Wiley One
Sales
Accounts Receivable (A/R)
12,000.00
15,460.00
02/28/2024
Invoice
1008
Blondie's Boards
Fred Rubble
Sales
Accounts Receivable (A/R)
7,600.00
23,060.00
02/28/2024
Sales Receipt
1009
Sarah Hay
California Nose Rider
Sales
Checking
3,200.00
26,260.00
02/28/2024
Sales Receipt
1009
Sarah Hay
Rook 15
Sales
Checking
1,300.00
27,560.00
02/28/2024
Sales Receipt
1009
Sarah Hay
The Water Hog
Sales
Checking
860.00
28,420.00
02/28/2024
Sales Receipt
1009
Sarah Hay
Wiley One
Sales
Checking
4,000.00
32,420.00
02/28/2024
Invoice
1008
Blondie's Boards
Rook 15
Sales
Accounts Receivable (A/R)
1,950.00
34,370.00
02/28/2024
Invoice
1008
Blondie's Boards
The Water Hog
Sales
Accounts Receivable (A/R)
3,440.00
37,810.00
02/28/2024
Sales Receipt
1009
Sarah Hay
Fred Rubble
Sales
Checking
2,850.00
40,660.00
Sales
Total for Sales
$40,660.00
TOTAL
$40,660.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
2,810.00
180
Appendix 2 - Comprehensive Problem Solutions Balance Sheet
Case 1 BALANCE SHEET As of February 28, 2024
TOTAL AS OF FEB 28, 2024
% OF COLUMN
Checking
47,406.54
27.87 %
Total Bank Accounts
$47,406.54
27.87 %
Accounts Receivable (A/R)
44,860.00
26.37 %
Total Accounts Receivable
$44,860.00
26.37 %
Accrued Receivable
10,200.00
6.00 %
Inventory Asset
4,900.00
2.88 %
Prepaid Expenses
6,400.00
3.76 %
400.00
0.24 %
ASSETS Current Assets Bank Accounts
Accounts Receivable
Other Current Assets
Supplies Asset Undeposited Funds
0.00
0.00 %
Total Other Current Assets
$21,900.00
12.88 %
Total Current Assets
$114,166.54
67.12 %
Fixed Assets Buildings Accumulated Depreciation
-100.00
-0.06 %
Original cost
15,000.00
8.82 %
Total Buildings
14,900.00
8.76 %
Accumulated Depreciation
-150.00
-0.09 %
Original cost
3,175.00
1.87 %
Total Equipment
3,025.00
1.78 %
Equipment
Furniture & Fixtures Accumulated Depreciation
-11,000.00
-6.47 %
Original cost
40,000.00
23.52 %
Total Furniture & Fixtures
29,000.00
17.05 %
Land
5,000.00
2.94 %
$51,925.00
30.53 %
Investments
4,000.00
2.35 %
Total Other Assets
$4,000.00
2.35 %
$170,091.54
100.00 %
Accounts Payable (A/P)
29,495.00
17.34 %
Total Accounts Payable
$29,495.00
17.34 %
Total Fixed Assets Other Assets
TOTAL ASSETS LIABILITIES AND EQUITY Liabilities Current Liabilities Accounts Payable
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
181
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (continued)
TOTAL AS OF FEB 28, 2024
% OF COLUMN
VISA
2,575.00
1.51 %
Total Credit Cards
$2,575.00
1.51 %
Accrued Liabilities
600.00
0.35 %
Payroll Tax Payable
6,790.66
3.99 %
Unearned Revenue
0.00
0.00 %
Total Other Current Liabilities
$7,390.66
4.35 %
Total Current Liabilities
$39,460.66
23.20 %
Notes Payable - Bank of CA
65,917.73
38.75 %
Notes Payable - Chase
17,735.32
10.43 %
Total Long-Term Liabilities
$83,653.05
49.18 %
Total Liabilities
$123,113.71
72.38 %
36,000.00
21.17 %
0.00
0.00 %
Retained Earnings
4,500.00
2.65 %
Net Income
6,477.83
3.81 %
Total Equity
$46,977.83
27.62 %
TOTAL LIABILITIES AND EQUITY
$170,091.54
100.00 %
Credit Cards
Other Current Liabilities
Long-Term Liabilities
Equity Common Stock Opening Balance Equity
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
182
Appendix 2 - Comprehensive Problem Solutions Checking Report Case 1 TRANSACTION REPORT February 1-28, 2024
DATE
TRANSACTION TYPE
NUM
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
AMOUNT
BALANCE
15,810.00
42,049.28
-575.00
41,474.28
Checking Beginning Balance
26,239.28
02/08/2024
Deposit
Checking
-Split-
02/11/2024
Check
1013
Office Depot
Checking
Supplies Asset
02/14/2024
Bill Payment (Check)
1012
Prime Properties
Checking
Accounts Payable (A/P)
-7,500.00
33,974.28
02/15/2024
Check
1014
Prime Properties
Checking
-Split-
-2,000.00
31,974.28
02/19/2024
Check
1015
Shareholders
Checking
Retained Earnings
-500.00
31,474.28
02/19/2024
Deposit
Shareholders
Checking
Common Stock
15,000.00
46,474.28
02/20/2024
Check
1019
Betsy Ross
Checking
-Split-
-1,048.40
45,425.88
02/20/2024
Check
1016
Chase Bank
Checking
-Split-
-339.68
45,086.20
02/20/2024
Check
1017
Bank of CA
Checking
-Split-
-1,132.27
43,953.93
02/20/2024
Check
1020
Jane Price
Checking
-Split-
-943.80
43,010.13
02/20/2024
Check
1018
Ben Franklin
Checking
-Split-
-3,113.22
39,896.91
02/28/2024
Sales Receipt
1009
Sarah Hay
Checking
-Split-
12,210.00
52,106.91
02/28/2024
Check
1022
Betsy Ross
Checking
-Split-
-879.30
51,227.61
02/28/2024
Check
1021
Ben Franklin
Checking
-Split-
-3,113.22
48,114.39
02/28/2024
Check
1023
Jane Price
Checking
-Split-
-707.85
47,406.54
Total for Checking
$21,167.26
TOTAL
$21,167.26
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
183
Appendix 2 - Comprehensive Problem Solutions Statement of Cash Flows Report
Case 1 STATEMENT OF CASH FLOWS February 1-28, 2024
TOTAL
OPERATING ACTIVITIES Net Income
9,683.54
Adjustments to reconcile Net Income to Net Cash provided by operations: Accounts Receivable (A/R)
-26,310.00
Accrued Receivable
-1,700.00
Inventory Asset
-2,200.00
Prepaid Expenses
800.00
Supplies Asset
-325.00
Buildings:Accumulated Depreciation
100.00
Equipment:Accumulated Depreciation
75.00
Furniture & Fixtures:Accumulated Depreciation
500.00
Accounts Payable (A/P) VISA
21,850.00 775.00
Accrued Liabilities
450.00
Payroll Tax Payable
3,615.67
Unearned Revenue
-2,500.00
Total Adjustments to reconcile Net Income to Net Cash provided by operations:
-4,869.33
Net cash provided by operating activities
$4,814.21
INVESTING ACTIVITIES Buildings:Original cost Land
-15,000.00 -5,000.00
Net cash provided by investing activities
$ -20,000.00
FINANCING ACTIVITIES Notes Payable - Bank of CA
-882.27
Notes Payable - Chase
17,735.32
Common Stock
15,000.00
Opening Balance Equity Retained Earnings
0.00 -500.00
Net cash provided by financing activities
$31,353.05
NET CASH INCREASE FOR PERIOD
$16,167.26
Cash at beginning of period
31,239.28
CASH AT END OF PERIOD
$47,406.54
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
184
Appendix 2 - Comprehensive Problem Solutions A/R Aging Summary Report
Case 1 A/R AGING SUMMARY As of February 28, 2024
CURRENT
Blazing Boards
20,500.00
Blondie's Boards
20,010.00
1 - 30
31 - 60
61 - 90
91 AND OVER
$20,010.00
Sarah Hay
1,030.00
Surf Rider Foundation TOTAL
TOTAL
$20,500.00 $1,030.00
3,320.00
$3,320.00
$43,830.00
$1,030.00
A/P Aging Summary Report
$0.00
$0.00
$0.00
61 - 90
91 AND OVER
$44,860.00
Case 1 A/P AGING SUMMARY As of February 28, 2024
CURRENT
1 - 30
31 - 60
TOTAL
BoardsWest
9,600.00
$9,600.00
Channel Islands
12,400.00
$12,400.00
Prime Properties
2,500.00
San Diego Gas & Electric Stewart Surfboards TOTAL
$2,500.00
150.00
145.00
$295.00
4,700.00 $29,350.00
$4,700.00 $0.00
$145.00
$0.00
$0.00
$29,495.00
Inventory Valuation Summary Report
Case 1 INVENTORY VALUATION SUMMARY As of February 28, 2024
QTY
ASSET VALUE
CALC. AVG
808
SKU
2.00
3,000.00
1,500.00
Biscuit Bonzer
0.00
0.00
California Nose Rider
0.00
0.00
Fred Rubble
0.00
0.00
Rook 15
1.00
400.00
400.00
The Water Hog
3.00
1,500.00
500.00
Wiley One
0.00
0.00
TOTAL
$4,900.00
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
185
Appendix 2 - Comprehensive Problem Solutions Transactions List by Date Report Case 1 TRANSACTION LIST BY DATE February 1-28, 2024
DATE
TRANSACTION TYPE
NUM
02/01/2024
Inventory Starting Value
START
02/05/2024
Sales Receipt
1005
02/06/2024
Invoice
1006
02/07/2024
Payment
02/08/2024
Deposit
02/09/2024
Inventory Starting Value
START
02/09/2024
Purchase Order
1003
02/10/2024
Expense
02/11/2024
Check
1013
02/11/2024
Purchase Order
1004
02/12/2024
Bill
02/13/2024
Bill
02/14/2024
Bill
02/14/2024
Bill Payment (Check)
1012
02/15/2024
Check
1014
02/19/2024
Deposit
02/19/2024
Check
02/20/2024
Check
02/20/2024
NAME
MEMO/DESCRIPTION
ACCOUNT
SPLIT
Biscuit Bonzer - Opening inventory and value
Opening Balance Equity
Inventory Asset
Awesome Surf
Undeposited Funds
-Split-
Surf Rider Foundation
Accounts Receivable (A/R)
-Split-
Blondie's Boards
Undeposited Funds
Accounts Receivable (A/R)
8,000.00
Checking
-Split-
15,810.00
Opening Balance Equity
Inventory Asset
BoardsWest
Accounts Payable (A/P)
Cost of Goods Sold
Village Travel
VISA
Travel
775.00
Office Depot
Checking
Supplies Asset
-575.00
Channel Islands
Accounts Payable (A/P)
-Split-
12,400.00
Stewart Surfboards
Accounts Payable (A/P)
-Split-
4,700.00
San Diego Gas & Electric
Accounts Payable (A/P)
Utilities
Prime Properties
Accounts Payable (A/P)
Rent & Lease
2,500.00
Prime Properties
Checking
Accounts Payable (A/P)
-7,500.00
Prime Properties
Checking
-Split-
-2,000.00
Shareholders
Checking
Common Stock
15,000.00
1015
Shareholders
Checking
Retained Earnings
-500.00
1016
Chase Bank
Checking
-Split-
-339.68
Check
1017
Bank of CA
Checking
-Split-
-1,132.27
02/20/2024
Check
1018
Ben Franklin
Checking
-Split-
-3,113.22
02/20/2024
Check
1019
Betsy Ross
Checking
-Split-
-1,048.40
02/20/2024
Check
1020
Jane Price
Checking
-Split-
-943.80
02/27/2024
Bill
BoardsWest
Accounts Payable (A/P)
Inventory Asset
9,600.00
02/27/2024
Invoice
1007
Blazing Boards
Accounts Receivable (A/R)
Sales
12,000.00
02/28/2024
Check
1021
Ben Franklin
Checking
-Split-
-3,113.22
02/28/2024
Check
1022
Betsy Ross
Checking
-Split-
-879.30
02/28/2024
Check
1023
Jane Price
Checking
-Split-
-707.85
02/28/2024
Bill
Channel Islands
Accounts Payable (A/P)
-Split-
12,400.00
02/28/2024
Invoice
1008
Blondie's Boards
Accounts Receivable (A/R)
-Split-
12,990.00
02/28/2024
Sales Receipt
1009
Sarah Hay
Checking
-Split-
12,210.00
02/28/2024
Journal Entry
10
-Split-
02/28/2024
Journal Entry
11
-Split-
02/28/2024
Journal Entry
12
-Split-
02/28/2024
Journal Entry
13
02/28/2024
Invoice
1010
02/28/2024
Journal Entry
14
-Split-
02/28/2024
Journal Entry
15
-Split-
02/28/2024
Journal Entry
16
-Split-
Wiley One - Opening inventory and value
AMOUNT
0.00 2,810.00 820.00
0.00 9,600.00
150.00
-SplitBlazing Boards
Accounts Receivable (A/R)
Services
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
8,500.00
186
Appendix 2 - Comprehensive Problem Solutions Budget vs. Actuals Report
Case 1 BUDGET VS. ACTUALS: BUDGET 1 - FY24 P&L February 1-28, 2024
TOTAL ACTUAL
BUDGET
OVER BUDGET
% OF BUDGET
Sales
40,660.00
Services
12,870.00
35,000.00
5,660.00
116.17 %
2,000.00
10,870.00
Total Income
$53,530.00
643.50 %
$37,000.00
$16,530.00
144.68 %
Income
Cost of Goods Sold Cost of Goods Sold
24,500.00
21,500.00
3,000.00
113.95 %
Total Cost of Goods Sold
$24,500.00
$21,500.00
$3,000.00
113.95 %
GROSS PROFIT
$29,030.00
$15,500.00
$13,530.00
187.29 %
Expenses Interest Expense
325.00
800.00
-475.00
40.63 %
Payroll
13,421.46
13,000.00
421.46
103.24 %
Rent & Lease
3,300.00
2,500.00
800.00
132.00 %
Supplies
250.00
250.00
Travel
1,225.00
500.00
725.00
Utilities
150.00
300.00
-150.00
50.00 %
Total Expenses
$18,671.46
$17,100.00
$1,571.46
109.19 %
NET OPERATING INCOME
$10,358.54
$ -1,600.00
$11,958.54
-647.41 %
245.00 %
Other Expenses Depreciation Expense
675.00
Total Other Expenses
$675.00
$0.00
$675.00
675.00 0.00%
NET OTHER INCOME
$ -675.00
$0.00
$ -675.00
0.00%
NET INCOME
$9,683.54
$ -1,600.00
$11,283.54
-605.22 %
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
187
Appendix 2 - Comprehensive Problem Solutions Case 2 Comprehensive Problem Solution Profit and Loss Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
188
Appendix 2 - Comprehensive Problem Solutions Total Income Transaction Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
189
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (Page 1/2)
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
190
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (Page 2/2)
Checking Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
191
Appendix 2 - Comprehensive Problem Solutions Statement of Cash Flows Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
192
Appendix 2 - Comprehensive Problem Solutions A/R Aging Summary Report
A/P Aging Summary Report
Inventory Valuation Summary Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
193
Appendix 2 - Comprehensive Problem Solutions Transactions List by Date Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
194
Appendix 2 - Comprehensive Problem Solutions Budget vs. Actuals Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
195
Appendix 2 - Comprehensive Problem Solutions Case 3 Comprehensive Problem Solution Profit and Loss Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
196
Appendix 2 - Comprehensive Problem Solutions Total Income Transaction Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
197
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (1/2)
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
198
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (2/2)
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
199
Appendix 2 - Comprehensive Problem Solutions Checking Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
200
Appendix 2 - Comprehensive Problem Solutions Statement of Cash Flows Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
201
Appendix 2 - Comprehensive Problem Solutions A/R Aging Summary Report
A/P Aging Summary Report
Inventory Valuation Summary Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
202
Appendix 2 - Comprehensive Problem Solutions
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
203
Appendix 2 - Comprehensive Problem Solutions Budget vs. Actuals Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
204
Appendix 2 - Comprehensive Problem Solutions Case 4 Comprehensive Problem Solution Trial Balance
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
205
Appendix 2 - Comprehensive Problem Solutions Profit and Loss Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
206
Appendix 2 - Comprehensive Problem Solutions Total Income Transaction Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
207
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (1/2)
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
208
Appendix 2 - Comprehensive Problem Solutions Balance Sheet (2/2)
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
209
Appendix 2 - Comprehensive Problem Solutions Checking Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
210
Appendix 2 - Comprehensive Problem Solutions Statement of Cash Flows Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
211
Appendix 2 - Comprehensive Problem Solutions A/R Aging Summary Report
A/P Aging Summary Report
Inventory Valuation Summary Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
212
Appendix 2 - Comprehensive Problem Solutions Transactions List by Date Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.
213
Appendix 2 - Comprehensive Problem Solutions Budget vs. Actuals Report
© 2021 Cengage. May not be scanned, copied or duplicated, or posted to a publicly accessible website, in whole or in part.