Question & Answer: The following are the trial balance and the other information related to Yorkis Perez, a consulting engineer. 1. Fees receiv…..

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P3-6 (L03A) (Adjusting Entries and Financial Statements) The following are the trial balance and the other information related to Yorkis Perez, a consulting engineer. YORKIS PEREZ, CONSULTING ENGINEER TRIAL BALANCE DECEMBER 31, 2017 Debit Credit Cash Accounts Receivable Allowance for Doubtful Accounts Supplies Prepaid Insurance Equipment Accumulated Depreciation-Equipment Notes Payable Owners Capital Service Revenue $29,500 49,600 $750 1,960 1,100 25,000 6,250 7,200 35,010 100,000 Rent Expense Salaries and Wages Expense Utilities Expenses Office Expense 9,750 30,500 1,080 720 2 $149,210 $149,210 1. Fees received in advance from clients $6,000, which were recorded as revenue, 2. Services performed for clients that were not recorded by December 31, $4,900. 3. Bad debt expense for the year is $1,430. 4. Insurance expired during the year $480. 5. Equipment is being depreciated at 10% per year. Yorks Perez gave the bank a 90-day, 10% note for $7,200 on December 1, 2017. 7. Rent of the building is $750 per month. The rent for 2017 has been paid, as has that for January 2018, and recorded as 6. Rent Expense. 8. Office salaries and wages earned but unpaid December 31, 2017, $2,510 nstructions (a) From the trial balance and other information given, prepare annual adjusting entries as of December 31, 2017. (Omit explanations.) (b) Prepare an income statement for 2017, a statement of owners equity, and a classified balance sheet. Yorkis Perez with- drew $17,000 cash for personal use during the year. were zer

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The following are the trial balance and the other information related to Yorkis Perez, a consulting engineer. 1. Fees received in advance from clients $6,000, which were recorded as revenue. 2. Services performed for clients that were not recorded by December 31, $4,900. 3. Bad debt expense for the year is $1,430. 4. Insurance expired during the year $480. 5. Equipment is being depreciated at 10% per year. 6. Yorkis Perez gave the bank a 90-day, 10% note for $7,200 on December 1, 2017. 7. Rent of the building is $750 per month. The rent for 2017 has been paid, as has that for January 2018, and recorded as Rent Expense. 8. Office salaries and wages earned but unpaid December 31, 2017, $2,510. Instructions (a) From the trial balance and other information given, prepare annual adjusting entries as of December 31, 2017. (Omit explanations.) (b) Prepare an income statement for 2017, a statement of owner’s equity, and a classified balance sheet. Yorkis Perez with-drew $17,000 cash for personal use during the year.

Expert Answer

 

Solution:

1) Adjusting entries

Transaction General Journal Debit Credit
1) Service Revenue $6,000
Unearned Service Revenue $6,000
(To record the Unearned Service Revenue which was wrongly recorded as Service Revenue)
2) Accounts Receivable $4,900
Service Revenue $4,900
(To record unrecorded service revenue)
3) Bad Debt Expense $1,430
Allowance for Doubtful Accounts $1,430
(to record bad debt expense)
4) Insurance Expense $480
Prepaid Insurance $480
(To record expired insruance)
5) Depreciation Expense (25,000*10%) $2,500
Accumulated Depreciation $2,500
(To record depreciation on equipment)
6) on Dec31 Interest Expense (7200*10%*1/12) $60
   Interest Payable $60
7) Prepaid Rent $750
Rent Expense $750
(Since Prepaid Rent for Jan 2017 has already been recorded as Rent Expense. The entry is reversed to record Prepaid Rent)
8) Salaries and Wages Expense $2,510
Salaries and Wages Payable $2,510

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