Prepare the following financial statements: a. Income statement for the month ended July 31 b. Statement of Changes in equity for the month ended July 31 c. Balance sheet as of July 31

Intermediate Accounting: Reporting And Analysis
3rd Edition
ISBN:9781337788281
Author:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Publisher:James M. Wahlen, Jefferson P. Jones, Donald Pagach
Chapter6: Cash And Receivables
Section: Chapter Questions
Problem 6MC: Prior to adjustments, Barrett Companys account balances at December 31, 2019, for Accounts...
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Prepare the following financial statements:

a. Income statement for the month ended July 31

b. Statement of Changes in equity for the month ended July 31

c. Balance sheet as of July 31

d. Statement of Cash flows for the month ended July 31 (Direct method). 

Instructions
McDollibee
Trial Balance
June 30, 2019
Debit
P
Credit
P
Accounts Titles
Cash
8,750
Accounts receivable
2,320
Supplies
1,900
Equipment
9,000
Accounts payable
5,500
Unearned revenue
800
Amy Cummin, Capital
15,670
P 21,970
21,970
The following transactions occurred during the month of July 2019:
Jul.
5 Collected P 850 in outstanding receivables from an account customer.
10 Rendered laundry services to Mr. Dee on account, P 6,300
15 Paid salaries of employees for the period covering Jul. 1-15, P 1,400.
16 P 600 of the unearned revenue were earned.
20 Paid P 2,000 of outstanding payables to suppliers.
21 Rendered laundry services for cash, P 250.
26 Purchased supplies on account, P 350.
29 Withdrew cash from the business for personal use, P 600.
30 paid salaries of employees for the period covering Jul. 16-31, P 1,400.
31 Received and paid utility bills, P 900.
Transcribed Image Text:Instructions McDollibee Trial Balance June 30, 2019 Debit P Credit P Accounts Titles Cash 8,750 Accounts receivable 2,320 Supplies 1,900 Equipment 9,000 Accounts payable 5,500 Unearned revenue 800 Amy Cummin, Capital 15,670 P 21,970 21,970 The following transactions occurred during the month of July 2019: Jul. 5 Collected P 850 in outstanding receivables from an account customer. 10 Rendered laundry services to Mr. Dee on account, P 6,300 15 Paid salaries of employees for the period covering Jul. 1-15, P 1,400. 16 P 600 of the unearned revenue were earned. 20 Paid P 2,000 of outstanding payables to suppliers. 21 Rendered laundry services for cash, P 250. 26 Purchased supplies on account, P 350. 29 Withdrew cash from the business for personal use, P 600. 30 paid salaries of employees for the period covering Jul. 16-31, P 1,400. 31 Received and paid utility bills, P 900.
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d. Statement of Cash flows for the month ended July 31 (Direct method). 

Instructions
McDollibee
Trial Balance
June 30, 2019
Debit
P
Credit
P
Accounts Titles
Cash
8,750
Accounts receivable
2,320
Supplies
1,900
Equipment
9,000
Accounts payable
5,500
Unearned revenue
800
Amy Cummin, Capital
15,670
P 21,970
21,970
The following transactions occurred during the month of July 2019:
Jul.
5 Collected P 850 in outstanding receivables from an account customer.
10 Rendered laundry services to Mr. Dee on account, P 6,300
15 Paid salaries of employees for the period covering Jul. 1-15, P 1,400.
16 P 600 of the unearned revenue were earned.
20 Paid P 2,000 of outstanding payables to suppliers.
21 Rendered laundry services for cash, P 250.
26 Purchased supplies on account, P 350.
29 Withdrew cash from the business for personal use, P 600.
30 paid salaries of employees for the period covering Jul. 16-31, P 1,400.
31 Received and paid utility bills, P 900.
Transcribed Image Text:Instructions McDollibee Trial Balance June 30, 2019 Debit P Credit P Accounts Titles Cash 8,750 Accounts receivable 2,320 Supplies 1,900 Equipment 9,000 Accounts payable 5,500 Unearned revenue 800 Amy Cummin, Capital 15,670 P 21,970 21,970 The following transactions occurred during the month of July 2019: Jul. 5 Collected P 850 in outstanding receivables from an account customer. 10 Rendered laundry services to Mr. Dee on account, P 6,300 15 Paid salaries of employees for the period covering Jul. 1-15, P 1,400. 16 P 600 of the unearned revenue were earned. 20 Paid P 2,000 of outstanding payables to suppliers. 21 Rendered laundry services for cash, P 250. 26 Purchased supplies on account, P 350. 29 Withdrew cash from the business for personal use, P 600. 30 paid salaries of employees for the period covering Jul. 16-31, P 1,400. 31 Received and paid utility bills, P 900.
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