Service Revenue 233,900 Office general expense 2,500 Salaries and wages expense 20,000 Utility expense 2,100 Transportation expense 13,300 Total 368,900 368,900 The analysis shows there are the following six items that need to be adjusted for the six-month operation of the business: 1. As at 30 June, a total of RM750 of supplies has not been used. 2. Prepaid Insurance is an insurance policy for a period of one year, payable on 1 March 2021. 3. Unearned Service Revenue is an advance payment received on 30 April 2020. As at 30 June 2021, 70% of the services have been successfully completed. 4. The note payable was issued on 1 February 2021. It is a 6-month note with 9% interest rate. 5. Salaries and wages expense for five employees amounting to RM1,500 each for June 2021 has not yet been recorded. Payment of salaries to employees is usually made on the 5th of each month. 6. Depreciation expense for furniture and equipment is RM4,000 per annum while vehicles are depreciated at a rate of 10% per annum with a residual value of RM20,000. Required: a) Prepare the adjusting journal entries. Omit explanation. b) Prepare an Adjusted Trial Balance for Johan Graphic Enterprise as at 30 June 2021. c) Prepare an Income Statement for the six-month ended 30 June 2021. d) Prepare a Statement of Financial Position as at 30 June 2021.

SWFT Comprehensive Volume 2019
42nd Edition
ISBN:9780357233306
Author:Maloney
Publisher:Maloney
Chapter5: Gross Income: Exclusions
Section: Chapter Questions
Problem 5DQ
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Johann Graphic Enterprise was established by Mr.Johan on January2021. At the end of the sixth month of its operation, the trial balance containing the relevant account balances is shown as follows:  

a) Prepare adjusting entries

b) Prepare adjusted trial balance 30 June 2021

c) Prepare income statement for 6 month ended june 2021

d) statement financial position 30 June 2021

Service Revenue
233,900
Office general expense
2,500
Salaries and wages expense
20,000
Utility expense
2,100
Transportation expense
13,300
Total
368,900
368,900
The analysis shows there are the following six items that need to be adjusted for the six-month
operation of the business:
1. As at 30 June, a total of RM750 of supplies has not been used.
2. Prepaid Insurance is an insurance policy for a period of one year, payable on 1 March
2021.
3. Unearned Service Revenue is an advance payment received on 30 April 2020. As at 30
June 2021, 70% of the services have been successfully completed.
4. The note payable was issued on 1 February 2021. It is a 6-month note with 9% interest
rate.
5. Salaries and wages expense for five employees amounting to RM1,500 each for June
2021 has not yet been recorded. Payment of salaries to employees is usually made on
the 5th of each month.
6. Depreciation expense for furniture and equipment is RM4,000 per annum while
vehicles are depreciated at a rate of 10% per annum with a residual value of RM20,000.
Required:
a) Prepare the adjusting journal entries. Omit explanation.
b) Prepare an Adjusted Trial Balance for Johan Graphic Enterprise as at 30 June 2021.
c) Prepare an Income Statement for the six-month ended 30 June 2021.
d) Prepare a Statement of Financial Position as at 30 June 2021.
Transcribed Image Text:Service Revenue 233,900 Office general expense 2,500 Salaries and wages expense 20,000 Utility expense 2,100 Transportation expense 13,300 Total 368,900 368,900 The analysis shows there are the following six items that need to be adjusted for the six-month operation of the business: 1. As at 30 June, a total of RM750 of supplies has not been used. 2. Prepaid Insurance is an insurance policy for a period of one year, payable on 1 March 2021. 3. Unearned Service Revenue is an advance payment received on 30 April 2020. As at 30 June 2021, 70% of the services have been successfully completed. 4. The note payable was issued on 1 February 2021. It is a 6-month note with 9% interest rate. 5. Salaries and wages expense for five employees amounting to RM1,500 each for June 2021 has not yet been recorded. Payment of salaries to employees is usually made on the 5th of each month. 6. Depreciation expense for furniture and equipment is RM4,000 per annum while vehicles are depreciated at a rate of 10% per annum with a residual value of RM20,000. Required: a) Prepare the adjusting journal entries. Omit explanation. b) Prepare an Adjusted Trial Balance for Johan Graphic Enterprise as at 30 June 2021. c) Prepare an Income Statement for the six-month ended 30 June 2021. d) Prepare a Statement of Financial Position as at 30 June 2021.
f. Silas started the year with no supplies on hand. They purchased $6,000 in supplies during
the year and have $2,000 on hand at December 31.
g. Silas paid $12,000 for a three-year insurance policy on July 1, 2018, debiting an asset
account at that time.
h. Silas borrowed $20,000 by signing a 9% interest, note payable on November 1, 2018.
i.
Silas purchased short-term investments on November 1, 2018. Interest of $300 per month
has been earned but not received prior to December 31.
QUESTION 3
Johan Graphic Enterprise was established by Mr. Johan on 1 January 2021. At the end of the
sixth month of its operation, the trial balance containing the relevant account balances is shown
as follows:
Johan Graphic Enterprise
Trial Balance as at 30 June 2021
Credit (RM)
Cash
Fumiture and equipment
Vehicle
Supplies
Prepaid Insurance
Note Payable
20,000
Unearned service revenue
15,000
Capital
100,000
Drawings
Debit (RM)
35,000
40,000
220,000
3,500
17,500
15,000
Transcribed Image Text:f. Silas started the year with no supplies on hand. They purchased $6,000 in supplies during the year and have $2,000 on hand at December 31. g. Silas paid $12,000 for a three-year insurance policy on July 1, 2018, debiting an asset account at that time. h. Silas borrowed $20,000 by signing a 9% interest, note payable on November 1, 2018. i. Silas purchased short-term investments on November 1, 2018. Interest of $300 per month has been earned but not received prior to December 31. QUESTION 3 Johan Graphic Enterprise was established by Mr. Johan on 1 January 2021. At the end of the sixth month of its operation, the trial balance containing the relevant account balances is shown as follows: Johan Graphic Enterprise Trial Balance as at 30 June 2021 Credit (RM) Cash Fumiture and equipment Vehicle Supplies Prepaid Insurance Note Payable 20,000 Unearned service revenue 15,000 Capital 100,000 Drawings Debit (RM) 35,000 40,000 220,000 3,500 17,500 15,000
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