After several years with a large accounting firm, Şalvacion Capistrano decided to establish her own accounting practice. The following transactions of Şalyacion Capistrano, CPA, were complete during May 2004: • May 2 - Transferred P92,500 cash from a personal savings account to a checking account, Salvacion Capistrano, CPA. • May 3 - Acquired office equipment on account from Gicain Furniture, P36,800. • May 4 - Acquired office supplies on account from Lorenzo Office Supply Company, P17,100. • May 6 - Performed accounting services for Cayaco Computer Company and submitted a bill c P29,200 for those services. • May 7 - Paid for accounting and tax books for use in the practice, P19,500. • May 8 - Paid Lorenzo Office Supply Company, P4,100 on account. • May 10 - Acquired a condominium unit for the accounting practice, P265,500. A down payment of P38,000 was made and issued a note payable for the remaining P227,000. • May 12 - Paid salaries, P14,200. • May 13 - receive P9,750 from Cayaco Computer Company, billed on May 6. • May 16 - Paid telephone expense, P650. • May 19 - Received cash in the amount of P14,600 from Ponferada Book Company for accounting services rendered for the month. • May 22 - Acquired office supplies on account from Lorenzo Office Supply Company, P4,650. • May 23 - Withdrew P8,150 for personal use. • May 25 - Paid salaries, P10,300. • May 26 - Billed Bosante Exporters P31,600 for accounting services rendered. • May 27 - Paid PICPA-Tacloban P5,500 for professional dues. • May 28 - Paid P3,250 rent on an office-copying machine. REQUIRED • Prepare the journal entries for the May transactions. • Post the entries to the ledger accounts using account numbers or cross-reference and using journal page number 1. The following accounts will be needed: Cash (101); Accounts Receivabl (120); Office Supplies (130); Office Condominium (140); Office Equipment (150); Accounting Library (160); Notes Payable (210); Accounts Payable (220); Capistrano, Capital (310); Capistrano, Withdrawals (320); Accounting Revenue (410); Salaries Expense (510); Rent Expense (520); Telephone Expense (530); and Professional Dues Expense (540). • Prepare a trial balance.

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Chapter8: Fraud, Internal Controls, And Cash
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PROBLEM After several years with a large accounting firm, Salvacion Capistrano decided to establish her own accounting practice. The following transactuons of Salvacion Capistrano, CPA, were complete during May 2004:  • May 2 - Transferred P92,500 cash from a personal savings account to a checking account, Salvacion Capistrano, CPA.  • May 3 - Acquired office equipment on account from Gicain Furniture, P36,800. • May 4 - Acquired office supplies on account from Lorenzo Office Supply Company, P17,100. • May 6 - Performed accounting services for Cayaco Computer Company and submitted a bill of P29,200 for those services. • May 7 - Paid for accounting and tax books for use in the practice, P19,500. • May 8 - Paid Lorenzo Office Supply Company, P4,100 on account. • May 10 - Acquired a condominium unit for the accounting practice, P265,500. A down payment of P38,000 was made and issued a note payable for the remaining P227,000. • May 12 - Paid salaries, P14,200. • May 13 - receive P9,750 from Cayaco Computer Company, billed on May 6. • May 16 - Paid telephone expense, P650.  • May 19 - Received cash in the amount of P14,600 from Ponferada Book Company for accounting services rendered for the month. • May 22 - Acquired office supplies on account from Lorenzo Office Supply Company, P4,650. • May 23 - Withdrew P8,150 for personal use. • May 25 - Paid salaries, P10,300. • May 26 - Billed Bosante Exporters P31,600 for accounting services rendered. • May 27 - Paid PICPA-Tacloban P5,500 for professional dues. • May 28 - Paid P3,250 rent on an office-copying machine. REQUIRED • Prepare the journal entries for the May transactions. • Post the entries to the ledger accounts using account numbers or cross-reference and using journal page number 1. The following accounts will be needed: Cash (101); Accounts Receivable (120); Office Supplies (130); Office Condominium (140); Office Equipment (150); Accounting Library (160); Notes Payable (210); Accounts Payable (220); Capistrano, Capital (310); Capistrano, Withdrawals (320); Accounting Revenue (410); Salaries Expense (510); Rent Expense (520); Telephone Expense (530); and Professional Dues Expense (540). • Prepare a trial balance.
PROBLEM
After several years with a large accounting firm, Şalvacion Capistrano decided to establish her
own accounting practice. The following transactions of Şalvacion Capistrano, CPA, were
complete during May 2004:
• May 2 - Transferred P92,500 cash from a personal savings account to a checking account,
Şalvacion Capistrano, CPA.
• May 3 - Acquired office equipment on account from Gicain Furniture, P36,800.
• May 4 - Acquired office supplies on account from Lorenzo Office Supply Company, P17,100.
• May 6 - Performed accounting services for Çayaço Computer Company and submitted a bill of
P29,200 for those services.
• May 7 - Paid for accounting and tax books for use in the practice, P19,500.
• May 8 - Paid Lorenzo Office Supply Company, P4,100 on account.
• May 10 - Acquired a condominium unit for the accounting practice, P265,500. A down
payment of P38,000 was made and issued a note payable for the remaining P227,000.
• May 12 - Paid salaries, P14,200.
May 13 - receive P9,750 from Cayaco Computer Company, billed on May 6.
• May 16 - Paid telephone expense, P650.
• May 19 - Received cash in the amount of P14,600 from Ponferada Book Company for
accounting services rendered for the month.
• May 22 - Acquired office supplies on account from Lorenzo Office Supply Company, P4,650.
• May 23 - Withdrew P8,150 for personal use.
• May 25 - Paid salaries, P10,300.
• May 26 - Billed Bosante Exporters P31,600 for accounting services rendered.
• May 27 - Paid PICPA-Tacloban P5,500 for professional dues.
• May 28 - Paid P3,250 rent on an office-copying machine.
REQUIRED
• Prepare the journal entries for the May transactions.
• Post the entries to the ledger accounts using account numbers or cross-reference and using
journal page number 1. The following accounts will be needed: Cash (101); Accounts Receivable
(120); Office Supplies (130); Office Condominium (140); Office Equipment (150); Accounting
Library (160); Notes Payable (210); Accounts Payable (220); Capistrano, Capital (310);
Capistrano, Withdrawals (320); Accounting Revenue (410); Salaries Expense (510); Rent
Expense (520); Telephone Expense (530); and Professional Dues Expense (540).
• Prepare a trial balance.
Transcribed Image Text:PROBLEM After several years with a large accounting firm, Şalvacion Capistrano decided to establish her own accounting practice. The following transactions of Şalvacion Capistrano, CPA, were complete during May 2004: • May 2 - Transferred P92,500 cash from a personal savings account to a checking account, Şalvacion Capistrano, CPA. • May 3 - Acquired office equipment on account from Gicain Furniture, P36,800. • May 4 - Acquired office supplies on account from Lorenzo Office Supply Company, P17,100. • May 6 - Performed accounting services for Çayaço Computer Company and submitted a bill of P29,200 for those services. • May 7 - Paid for accounting and tax books for use in the practice, P19,500. • May 8 - Paid Lorenzo Office Supply Company, P4,100 on account. • May 10 - Acquired a condominium unit for the accounting practice, P265,500. A down payment of P38,000 was made and issued a note payable for the remaining P227,000. • May 12 - Paid salaries, P14,200. May 13 - receive P9,750 from Cayaco Computer Company, billed on May 6. • May 16 - Paid telephone expense, P650. • May 19 - Received cash in the amount of P14,600 from Ponferada Book Company for accounting services rendered for the month. • May 22 - Acquired office supplies on account from Lorenzo Office Supply Company, P4,650. • May 23 - Withdrew P8,150 for personal use. • May 25 - Paid salaries, P10,300. • May 26 - Billed Bosante Exporters P31,600 for accounting services rendered. • May 27 - Paid PICPA-Tacloban P5,500 for professional dues. • May 28 - Paid P3,250 rent on an office-copying machine. REQUIRED • Prepare the journal entries for the May transactions. • Post the entries to the ledger accounts using account numbers or cross-reference and using journal page number 1. The following accounts will be needed: Cash (101); Accounts Receivable (120); Office Supplies (130); Office Condominium (140); Office Equipment (150); Accounting Library (160); Notes Payable (210); Accounts Payable (220); Capistrano, Capital (310); Capistrano, Withdrawals (320); Accounting Revenue (410); Salaries Expense (510); Rent Expense (520); Telephone Expense (530); and Professional Dues Expense (540). • Prepare a trial balance.
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