P1-1A
Barone’s Repair Shop was started on May 1 by Nancy Barone. A summary of May
transactions is presented below.
1. Invested $10,000 cash to start the repair shop.
2. Purchased equipment for $5,000 cash.
3. Paid $400 cash for May office rent.
4. Paid $500 cash for supplies.
5. Incurred $250 of advertising costs in the Beacon News on account.
6. Received $5,100 in cash from customers for repair service.
7. Withdrew $1,000 cash for personal use.
8. Paid part-time employee salaries $2,000.
9. Paid utility bills $140.
10. Provided repair service on account to customers $750.
11. Collected cash of $120 for services billed in transaction (10).
Instructions
(a) Prepare a tabular analysis of the transactions, using the following column headings: Cash,
Accounts Receivable, Supplies, Equipment,Accounts Payable,N. Barone, Capital;N. Barone,
Drawings; Revenues, and Expenses.
(b) From an analysis of the owner’s equity columns, compute the net income or net loss for May.
P2-5A
The Lake Theater is owned by Tony Carpino.All facilities were completed on March 31.
At this time, the ledger showed: No. 101 Cash $6,000, No. 140 Land $10,000, No. 145 Buildings
(concession stand, projection room, ticket booth, and screen) $8,000, No. 157 Equipment $6,000,
No. 201 Accounts Payable $2,000, No. 275 Mortgage Payable $8,000, and No. 301 Tony Carpino,
Capital $20,000. During April, the following events and transactions occurred.
Apr. 2 Paid film rental of $800 on first movie.
3 Ordered two additional films at $1,000 each.
9 Received $2,800 cash from admissions.
10 Made $2,000 payment on mortgage and $1,000 for accounts payable due.
11 Lake Theater contracted with R. Wynns Company to operate the concession stand.
Wynns is to pay 17% of gross concession receipts (payable monthly) for the right to operate
the concession stand.
12 Paid advertising expenses $500.
20 Received one of the films ordered on April 3 and was billed $1,000. The film will be
shown in April.
25 Received $5,200 cash from admissions.
29 Paid salaries $2,000.
30 Received statement from R.Wynns showing gross concession receipts of $1,000 and
the balance due to The Lake Theater of $170 ($1,000 17%) for April.Wynns paid
one-half of the balance due and will remit the remainder on May 5.
30 Prepaid $900 rental on special film to be run in May.
In addition to the accounts identified above, the chart of accounts shows: No. 112 Accounts
Receivable,No. 136 Prepaid Rentals,No. 405 Admission Revenue,No. 406 Concession Revenue,
No. 610 Advertising Expense, No. 632 Film Rental Expense, and No. 726 Salaries Expense.
Instructions
(a) Enter the beginning balances in the ledger as of April 1. Insert a check mark () in the reference
column of the ledger for the beginning balance.
(b) Journalize the April transactions.
(c) Post the April journal entries to the ledger. Assume that all entries are posted from page 1 of
the journal.
(d) Prepare a trial balance on April 30, 2010.
坐等...跪求...