Formidable Info About Kelly Consulting Post Closing Trial Balance
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Kelly consulting post closing trial balance. You are preparing a trial balance after the closing entries are complete. You'll get a detailed solution from a subject matter expert that helps you learn core concepts. A) journalize the following transactions using the file called student template.
Debit credit cash 11 22,100. Debit credit cash 11 22,100 accounts receivable. Kelly consulting score:
Debit credit cash 11 22,100 accounts receivable 12 3,400 supplies 14 1,350. If an amount box does not require an entry, leave it blank. Its purpose is to test the equality between debits and credits after the.
Prepare an unadjusted trial balance. Account title debit credit cash 44,195 accounts receivable ( 1,100 ) supplies 2,085 prepaid rent 3,200 prepaid. 21/64 unadjusted trial balance may 31, 2019 account title debit credit 1 cash 21,975.00 2accounts receivable.
Kelly consulting adjusted trial balance may 31, 20y8 debit balances credit balances account title cash accounts receivable supplies 44,195 8,080 715 1,600 1,225 14,500.