ACC WEEK 2: T-ACCOUNT ANALYSIS ASSIGNMENT

Question # 00067993 Posted By: expert-mustang Updated on: 05/11/2015 12:13 AM Due on: 05/14/2015
Subject Accounting Topic Accounting Tutorials:
Question
Dot Image

WEEK 2: T-ACCOUNT ANALYSIS

Part 1: Identify the account classification (asset, liability, owner's equity, revenue or expense) and the normal balance (debit or credit)

Account Name Classification (Asset, Liability, Owner's Equity, Revenue or Expense?) Normal Balance (Debit or Credit?)

Cash Asset Debit

Accounts Receivable

Prepaid Rent

Office Furniture

Computer Equipment

Accounts Payable

Your Name, Capital

Your Name, Drawing

Fees Income

Rent Expense

Utilities Expense

PART 2: ANALYZE THE NOVEMBER TRANSACTIONS FOR YOUR COMPUTER COMPANY USING T-ACCOUNTS

T-ACCOUNT ANALYSIS

ASSETS = LIABILITIES + OWNER'S EQUITY + REVENUE - EXPENSES

CASH ACCOUNTS PAYABLE YOUR NAME, CAPITAL FEES INCOME RENT EXPENSE

YOUR NAME, DRAWING UTILITIES EXPENSE

ACCOUNTS RECEIVABLE

PREPAID RENT

OFFICE FURNITURE

COMPUTER EQUIPMENT

Total Assets: Total Liabilities: Total Owner's Equity: Total Revenue: Total Expenses:

PART 1:

Determine the account type (Asset, Liability, or Owner's Equity) for each of the account names listed in the Excel workbook in the T-account worksheet. Identify the normal balance

(debit or credit) for the account.

PART 2:

Analyze the given transactions using the T accounts

provided. Remember that each transaction will affect at least 2 accounts and your debits must equal your credits after each transaction!

November Business Transactions:

3rd: S. Smith visits her local bank and withdraws

$70,000 from her personal savings account, depositing

the cash into a new bank account in the name of the business, Smith Consultants.

5th: Smith Consultants issues check

1001 for $3,000 to purchase computer equipment from Digital Warehouse, Inc.

6th: Smith Consultants issues check 1002 to Property, Inc. to pay the current month's rent due of $1,000 as well as prepay rent for the months of December, January and February.

10th: Smith Consultants issues check 1003 to purchase office furniture in the amount of $2,500 from Furniture Depot.

11th: Smith Consultants purchases $5,000 of computer equipment from Elite computing

on account due in 90 days. Elite Computing issues invoice 7964.

14th: Smith Consultants performs services to cash clients for $1,200.

17th: Smith Consultants performs services to charge account

client, Speedy Freight, in the amount of $2,000. Invoice 101 is issued and is receivable in 30 days.

19th: Smith Consultants issues check

1004 to State Power Company for the November utility bill in the amount of $400.

20th: Smith Consultants performs services to cash clients for $4,000.

25th: Smith Consultants issues S. Smith check

1005 as a draw for her personal use in the amount of $5,000.

Dot Image
Tutorials for this Question
  1. Tutorial # 00063891 Posted By: expert-mustang Posted on: 05/11/2015 12:13 AM
    Puchased By: 3
    Tutorial Preview
    The solution of ACC WEEK 2 T-ACCOUNT ANALYSIS ASSIGNMENT SOLUTION...
    Attachments
    ACC_WEEK_2_T-ACCOUNT_ANALYSIS_ASSIGNMENT_SOLUTION.xlsx (20.47 KB)
    Recent Feedback
    Rated By Feedback Comments Rated On
    As...an1 Rating Customer services are available 24*7 11/10/2017

Great! We have found the solution of this question!

Whatsapp Lisa