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Axia College Material Appendix C Journalizing, Posting, and Preparing a Trial Balance Journalizing the Transactions Use this template to journalize...

I need help really badly with this assignment in accounting. I know that I am late but I have been struggling all week with this. Can someone please help me. I am desparate need. Here is all of the information with and attached excel doucment for the assignment. Thank you in Advance.
P2-2A Jane Kent is a licensed CPA. During the first month of operations of her business, Jane
Kent, Inc., the following events and transactions occurred.
May 1 Stockholders invested $25,000 cash in exchange for common stock.
2 Hired a secretary-receptionist at a salary of $2,000 per month.
3 Purchased $2,500 of supplies on account from Read Supply Company.
7 Paid office rent of $900 cash for the month.
11 Completed a tax assignment and billed client $2,100 for services provided.
12 Received $3,500 advance on a management consulting engagement.
17 Received cash of $1,200 for services completed for H. Arnold Co.
31 Paid secretary-receptionist $2,000 salary for the month.
31 Paid 40% of balance due Read Supply Company.
Jane uses the following chart of accounts: No. 101 Cash, No. 112 Accounts Receivable, No. 126
Supplies,No. 201 Accounts Payable,No. 205 Unearned Revenue,No. 311 Common Stock,No. 400
Service Revenue, No. 726 Salaries Expense, and No. 729 Rent Expense.
Journalize transactions, post,
and prepare a trial balance.
(SO 2, 4, 6, 7

a) General Journal Axia College Material Appendix C Journalizing, Posting, and Preparing a Trial Balance Journalizing the Transactions GENERAL JOURNAL J1 DATE ACCOUNT TITLE AND EXPLANATION REF. DEBIT CREDIT Cash 101 25,000 Common Stock 311 25,000 2 Hired 726 2,000 Secretary 212 2,000 3Office Supplies 126 2,500 On Account 201 7Office Rent 729 900 Per Month for May 900 11 Accounts Received 112 2,100 Unearned Revenue 320 2,100 12 Service Revenue 400 3,500 17 Cash 101 1,200 Services completed for H. Arnold Co. 320 1,200 31 Secretary 201 2,000 Payable salary per month 726 31 Paid fourty percent to Read Supply Company 230 10,000 Use this template to journalize the transactions for Jane Kent, Inc. The first two lines are completed for you. You might not require all the lines provided. May 1
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b) Ledger Accounts Axia College Material Appendix C Journalizing, Posting, and Preparing a Trial Balance Posting the Accounts GENERAL LEDGER Cash No. 101 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May-2008 J1 25,000 25,000 Accounts Receivable No. 112 DATE EXPLANATION REF. DEBIT CREDIT BALANCE Supplies No. 126 DATE EXPLANATION REF. DEBIT CREDIT BALANCE Accounts Payable No. 201 DATE EXPLANATION REF. DEBIT CREDIT BALANCE Unearned Revenue No. 205 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May 205 Common Stock No. 311 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May 311 Service Revenue No. 400 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May 400 Salaries Expense No. 726 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May 726 Rent Expense No. 729 DATE EXPLANATION REF. DEBIT CREDIT BALANCE 1-May 729 Post the ledger accounts for Jane Kent, Inc. on this General Ledger. The first line of the cash account is completed for you. Complete the remaining lines in the cash account, and the other eight accounts. You have nine accounts altogether.
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