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The adjusted trial balance shown below is for Rich Company at the end of its fis

ID: 2370090 • Letter: T

Question

The adjusted trial balance shown below is for Rich Company at the end of its fiscal year.

                  

                                  Rich Company

                                   Trial Balance

                                 March 31, 2011

Cash                                  $12,900

Accounts Receivable                             9,400

Office Supplies                           700

Prepaid Insurance                 2,500

Office Equipment                                    16,000

Accum. Depr: office Equipment                                                          $4,800

Accounts Payable                                                                  5,800

Salaries Payable                                                                    1,100

Unearned rent revenue                                                           600

Common stock                                                                     10,000

Retained                                                                                 5,600

Dividends                                3,800

Service revenue                                                                    39,600

Rent revenue                                                                                      14,400

Salaries expense                 20,100

Office supplies expense           1,800

Rent expense                                         12,000

insurance expense                   1,500

depreciation expense               1,200

                                                 $81,900                              $81,900

Prepare the closing entries at March 31

(Please show exactly how it should be written, in the correct format and spacing please, thank you!!)

Explanation / Answer

Rich Company Trial Balance March 31, 2011 Particular Debit Credit Cash $ 12,900.00 $ - Accounts Receivable $ 9,400.00 $ - Office Supplies $ 700.00 $ - Prepaid Insurance $ 2,500.00 $ - Office Equipment $ 16,000.00 $ - Accum. Depr: Office Equipment $ - $ 4,800.00 Accounts Payable $ - $ 5,800.00 Salaries Payable $ - $ 1,100.00 Unearned Rent Revenue $ - $ 600.00 Common Stock $ - $ 10,000.00 Retained Earning $ - $ 5,600.00 Dividends $ 3,800.00 $ - Service Revenue $ - $ 39,600.00 Rent Revenue $ - $ 14,400.00 Salaries Expense $ 20,100.00 $ - Office Supplies Expense $ 1,800.00 $ - Rent Expense $ 12,000.00 $ - Insurance Expense $ 1,500.00 $ - Depreciation Expense $ 1,200.00 $ - Total $ 81,900.00 $ 81,900.00

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