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Balance Sheet 2003 2011 2012 2013 Cash 34000 51000 23800 17000 Accounts Receivab
Balance Sheet 2003 2011 2012 2013 Cash 34000 51000 23800 17000 Accounts Receivable 136000 204000 231200 323000 Inventory 170000 255000 425000 688500 Total Current Assets 340000 51…
Balance Sheet 2009 2008 Cash Accounts receivable Inventory Total current assets
Balance Sheet 2009 2008 Cash Accounts receivable Inventory Total current assets Fixed assets Total assets $ 200,000 1,200,000 1,840,000 $ 3,240,000 3,200,000 $ 6,440,000 $ 50,000 …
Balance Sheet 2013 2012 2011 Assets Cash $13,000 $19,000 $18,000 A/R 3,000 1,000
Balance Sheet 2013 2012 2011 Assets Cash $13,000 $19,000 $18,000 A/R 3,000 1,000 0 Inventory 18,000 12,000 8,000 Net building/land/equipme…
Balance Sheet 2013 2012 2011 Assets Cash $13,000 $19,000 $18,000 A/R 3,000 1,000
Balance Sheet 2013 2012 2011 Assets Cash $13,000 $19,000 $18,000 A/R 3,000 1,000 0 Inventory 18,000 12,000 8,000 Net building/land/equipme…
Balance Sheet 2013 2012 2013 cash $ 15,000 $ 9,000 accounts receivable $ 240,000
Balance Sheet 2013 2012 2013 cash $ 15,000 $ 9,000 accounts receivable $ 240,000 $ 340,000 inventory $ 175,000 $ 125,000 prepaid ex…
Balance Sheet 2016 2015 2014 Cash and Cash Equivalents $9,158,000 $9,096,000 $6,
Balance Sheet 2016 2015 2014 Cash and Cash Equivalents $9,158,000 $9,096,000 $6,134,000 Short Term Investments $6,967,000 $2,913,000 $2,592,000 Net Receivables $6,694,000 $6,913,0…
Balance Sheet 28-2 A bank\'s assets consist of $1,000,000 in total reserves, $2,
Balance Sheet 28-2 A bank's assets consist of $1,000,000 in total reserves, $2,100,000in loans, and a building worth $1,200,000. Its liabilities and capital consist of $3,000,000 …
Balance Sheet ASSETS December 31, 2009 Cash $20,900,000 Marketable Securities $1
Balance Sheet ASSETS December 31, 2009 Cash $20,900,000 Marketable Securities $117,000,000 Accounts Receivable $33,000,000 Less: Allowance for Bad Debts $(880,000) Net Accounts Re…
Balance Sheet Account: Asset----Increase = Debit, Decrease=Credit Normal Balance
Balance Sheet Account: Asset----Increase = Debit, Decrease=Credit Normal Balance=Debit Liability----Increase=Credit, Decrease=Debit, Normal Balance=Credit Owner's Equity: *****Cap…
Balance Sheet Accounts Balance Sheet Classification 1. Preferred stock. 2. Goodw
Balance Sheet Accounts Balance Sheet Classification 1. Preferred stock. 2. Goodwill 3. Salaries and wages payable 4. Accounts payable 5. Buildings 6. Equity investments (to be sol…
Balance Sheet Analysis Complete the balance sheet and sales information in the t
Balance Sheet Analysis Complete the balance sheet and sales information in the table that follows for J. White Industries using the following financial data: Total assets turnover…
Balance Sheet Analysis Complete the balance sheet and sales information in the t
Balance Sheet Analysis Complete the balance sheet and sales information in the table that follows for J. White Industries using the following financial data: Total assets turnover…
Balance Sheet Assets: Cash and marketable securities $600,000 Accounts receivabl
Balance Sheet Assets: Cash and marketable securities $600,000 Accounts receivable 900,000 Inventories 1,500,000 Prepaid expenses 75,000 Total current asse…
Balance Sheet Assets: Cash and marketable securities $600,000 Accounts receivabl
Balance Sheet Assets: Cash and marketable securities $600,000 Accounts receivable 900,000 Inventories 1,500,000 Prepaid expenses 75,000 Total current asse…
Balance Sheet Below is the balance sheet for Labyrinth Services Co., which conta
Balance Sheet Below is the balance sheet for Labyrinth Services Co., which contains errors. Prepare a corrected balance sheet. Labyrinth Services Co. Balance Sheet For the Year En…
Balance Sheet Cash 150,000.00 Accts receivable 200,000.00 Inventory 220,000.00 T
Balance Sheet Cash 150,000.00 Accts receivable 200,000.00 Inventory 220,000.00 …
Balance Sheet Cash 150,000.00 Accts receivable 200,000.00 Inventory 220,000.00 T
Balance Sheet Cash 150,000.00 Accts receivable 200,000.00 Inventory 220,000.00 Total …
Balance Sheet Cash = $3,000,000 Accounts Receivable = $24,000,000 Inventories =
Balance Sheet Cash = $3,000,000 Accounts Receivable = $24,000,000 Inventories = $55,000,000 Net Fixed Assets = $173,000,000 Total Assets = $255,000,000 Accounts Payable and Accrua…
Balance Sheet Cash Flow Assets Income Statement Statement Cash + Stone ReservesL
Balance Sheet Cash Flow Assets Income Statement Statement Cash + Stone ReservesLiab. NA Equity 2,000,0000 Rev. - Exp. Net Inc. NA 2,000,000 NA 2,000,000 (2,000,000) NA Balance She…
Balance Sheet Cash and Marketable Securities 490 Accounts Receivable 5990 Invent
Balance Sheet Cash and Marketable Securities 490 Accounts Receivable 5990 Inventories 9550 Current Assets 16030 Net property and equipment 17030 Total assets 33060 Accounts Payabl…
Balance Sheet Cash and Marketable Securities 490 Accounts Receivable 5990 Invent
Balance Sheet Cash and Marketable Securities 490 Accounts Receivable 5990 Inventories 9550 Current Assets 16030 Net property and equipment 17030 Total assets 33060 Accounts Payabl…
Balance Sheet Classi?cations and Relationships : Shelley and Co. has the followi
Balance Sheet Classi?cations and Relationships: Shelley and Co. has the following balance sheet elements as of December 31, 2012. Land. . . . . . . . . . . . . . . . . . . . . . .…
Balance Sheet Cole Eagan Enterprises December 31, 2005 Cash $4500 Accounts Payab
Balance Sheet Cole Eagan Enterprises December 31, 2005 Cash $4500 …
Balance Sheet Consolidation [AICPA Adapted] Case Inc. acquired all Frey Inc.\'s
Balance Sheet Consolidation [AICPA Adapted] Case Inc. acquired all Frey Inc.'s outstanding $25 par common stock on December 31, 20X3, in exchange for 40,000 shares of its $25 par …
Balance Sheet Data Cash 3,000,000 Accounts Payable and Accruals 14,000,000 Accou
Balance Sheet Data Cash 3,000,000 Accounts Payable and Accruals 14,000,000 Accounts Receivable 24,000,000 Notes Payable 29,356,200 Inventories 55,000,000 Long-Term Debt (Bonds) 52…
Balance Sheet Debits Credits Cash ? Office Supplies 2640 Prepaid Insurance 2,200
Balance Sheet Debits Credits Cash ? Office Supplies 2640 Prepaid Insurance 2,200 Equipment 105,600 Accumulated Depreciation-Equipment 8,800 Trademarks 2,090 Accounts Payable 22,00…
Balance Sheet Debits Credits Cash ? Office Supplies 2640 Prepaid Insurance 2,200
Balance Sheet Debits Credits Cash ? Office Supplies 2640 Prepaid Insurance 2,200 Equipment 105,600 Accumulated Depreciation-Equipment 8,800 Trademarks 2,090 Accounts Payable 22,00…
Balance Sheet December 31 Assets Current assets: $ 23,000 240,000 310,000 8,000
Balance Sheet December 31 Assets Current assets: $ 23,000 240,000 310,000 8,000 581,000 860,000 $1,441,000 Cash Accounts receivable, net Merchandise inventory Prepaid expenses Tot…
Balance Sheet December 31, 2013 s 60.00 15,00 85 000 $160,000 $ 25,000 Accounts
Balance Sheet December 31, 2013 s 60.00 15,00 85 000 $160,000 $ 25,000 Accounts Payable Cash Prepaid Insurance Accounts Receivable Inventory Land Held for Investment Land Building…
Balance Sheet December 31st (Millions of dollars) Pellegrini Pellegrini Foodstuf
Balance Sheet December 31st (Millions of dollars) Pellegrini Pellegrini Foodstuffs Southern Corporation Corporation ing ing Foodstuffs Southern Corporation Corporation Assets Liab…
Balance Sheet December 31st (Millions of dollars) Scramouche Pellegrini Southern
Balance Sheet December 31st (Millions of dollars) Scramouche Pellegrini Southern Opera Company Corporation Scramouche Pellegrini Southern Company Corporation Opera Assets Current …
Balance Sheet December 31st (Millions of dollars) ding Pellegrini Foodstuffs Sou
Balance Sheet December 31st (Millions of dollars) ding Pellegrini Foodstuffs Southern ding Pellegrini Foodstuffs Southern Inc. Inc. Inc. Inc. Assets Liabilities Current liabilitie…
Balance Sheet Gotham as of 12/31 20x1 20X2 20x0 ASSETS: Cash Accounts Receivable
Balance Sheet Gotham as of 12/31 20x1 20X2 20x0 ASSETS: Cash Accounts Receivable Supplies Inventory Investment Equipment Accumulated Depreciation BV of Equipment 80,500 33,000 110…
Balance Sheet January 1 Assets Cash Accounts Receivable Inventory Prepaid Rent E
Balance Sheet January 1 Assets Cash Accounts Receivable Inventory Prepaid Rent Equipment Total Assets Equities 50,420 Accounts Payable 0,053 Wages Payable 78,451 Notes Payable 6,2…
Balance Sheet January1 Assets Cash Accounts Receivable $54,197 Accounts Payable
Balance Sheet January1 Assets Cash Accounts Receivable $54,197 Accounts Payable 34,456 Wages Payable 79,767 Notes Payable 5,268 Paid-In Capital 206,885 Retained Earnings $60,512 1…
Balance Sheet Optimum Weight Loss Co. offers personal weight reduction consultin
Balance Sheet Optimum Weight Loss Co. offers personal weight reduction consulting services to individuals. After all the accounts have been closed on November 30, 2019, the end of…
Balance Sheet PLEASE CALCULATE REMAINING RATIOS Assets Season One Season Two Sea
Balance Sheet PLEASE CALCULATE REMAINING RATIOS Assets Season One Season Two Season Three Cash 204.7 352.8 446.5 Inventory 1.6 8.93 6.98 Equipment 5.75 5.75 5.75 Total Assets 212.…
Balance Sheet Preparation From the following data, prepare a classified balance
Balance Sheet Preparation From the following data, prepare a classified balance sheet forTaylorsville Construction Company at December 31, 2009. Accounts payable . . . . . . . . .…
Balance Sheet Preparation From the following data, prepare a classified balance
Balance Sheet Preparation From the following data, prepare a classified balance sheet for Taylorsville Construction Company at December 31, 2009. Accounts payable . . . . . . . . …
Balance Sheet Preparation The following is a December 31, 2015, post-closing tri
Balance Sheet Preparation The following is a December 31, 2015, post-closing trial balance for the Happy Valley Corporation. Additional Information: 1. The $105000 balance in the …
Balance Sheet Preparation with a Missing Element The following data are availabl
Balance Sheet Preparation with a Missing Element The following data are available for Schubert Products Inc. as of December 31, 2012. Cash . . . . . . . . . . . . . . . . . . . .…
Balance Sheet Presentation of Available-for-Sale Investments During 2012, Toney
Balance Sheet Presentation of Available-for-Sale Investments During 2012, Toney Corporation held a portfolio of available-for-sale securities having a cost of $196,900. There were…
Balance Sheet Presentation of Available-for-Sale Investments During 2014, Toney
Balance Sheet Presentation of Available-for-Sale Investments During 2014, Toney Corporation held a portfolio of available-for-sale securities having a cost of $210,300. There were…
Balance Sheet Presentation of Available-for-Sale Investments During 2014, Toney
Balance Sheet Presentation of Available-for-Sale Investments During 2014, Toney Corporation held a portfolio of available-for-sale securities having a cost of $213,500. There were…
Balance Sheet Presentation of Available-for-Sale Investments During Year 1,it\'s
Balance Sheet Presentation of Available-for-Sale Investments During Year 1,it's first year of operations,Galileo Company purchased two available -for -sale investments as follows …
Balance Sheet Presentation of Available-for-Sale Investments During Year 2, Cope
Balance Sheet Presentation of Available-for-Sale Investments During Year 2, Copernicus Corporation held a portfolio of available-for-sale securities having a cost of $203,900. The…
Balance Sheet Presentation, Trading Investments The income statement for Tri-Con
Balance Sheet Presentation, Trading Investments The income statement for Tri-Con, Inc., for the year ended December 31, 2014, was as follows: Tri-Con, Inc. Income Statement (selec…
Balance Sheet Puzzle (18 points) be considered when solving this Balance Sheet p
Balance Sheet Puzzle (18 points) be considered when solving this Balance Sheet puzzle for FURNITURE Corporation as at July 31, 2017. Set out below are the individual accounts and …
Balance Sheet The account balances of Sentinel Travel Service for the year ended
Balance Sheet The account balances of Sentinel Travel Service for the year ended August 31, 2019, are listed below. Fees earned $750,000 Office expense 295,000 Miscellaneous expen…
Balance Sheet The account balances of Sentinel Travel Service for the year ended
Balance Sheet The account balances of Sentinel Travel Service for the year ended August 31, 2019, are listed below Fees earned Office expense Miscellaneous expense Wages expense A…