Problem # 14 Recording Transactions in a Financial Transaction Worksheet On Mar. 1, 2019, Froilan Labausa established Labausa Catering Service. Transactions completed during the month are as follows: a. Labausa deposited P165,000 in a bank account in the name of the business. b. Bought a service vehicle from Elpidio Motors for P194,900, paying P25,000 in cash and placing the balance on account. c. Bought catering equipment on account from Quirino Equipment, P28,500. d. Paid rent for the month, P6,200. e. Rendered catering services for cash for the first half of the month, P24,200. f. Bought supplies for cash, P1,800. 8. Bought insurance for the service vehicle for one year, P4,000. h. 1. Received and paid the utilities bill, P6,040. Received a bill from Manila Gas for gas and oil used by the service vehicle for the month, P6,080. j. Rendered catering services on account, P28,240. k. Performed catering services for cash for the remainder of the month, P25,200. 1. Paid salaries of the part-time assistants, P11,200. m. Labausa withdrew cash for personal use, P15,500. Required: Record the transactions for the month of March 2019 using a financial transaction worksheet. Use the following accounts: Cash; Accounts Receivable; Prepaid Insurance; Service Vehicle; Equipment; Accounts Payable; and Labausa, Capital. If the owner's equity account is affected by a transaction, identify it as revenue, expense, investment or withdrawal.

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Chapter4A: Nopat Breakeven: Revenues Needed To Cover Total Operating Costs
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Problem #14
Recording Transactions in a Financial Transaction Worksheet
On Mar. 1, 2019, Froilan Labausa established Labausa Catering Service. Transactions
completed during the month are as follows:
a. Labausa deposited P165,000 in a bank account in the name of the business.
b.
Bought a service vehicle from Elpidio Motors for P194,900, paying P25,000 in cash
and placing the balance on account.
c.
Bought catering equipment on account from Quirino Equipment, P28,500.
d. Paid rent for the month, P6,200.
e. Rendered catering services for cash for the first half of the month, P24,200.
f. Bought supplies for cash, P1,800.
8. Bought insurance for the service vehicle for one year, P4,000.
h.
1.
Received and paid the utilities bill, P6,040.
Received a bill from Manila Gas for gas and oil used by the service vehicle for the
month, P6,080.
j.
Rendered catering services on account, P28,240.
k. Performed catering services for cash for the remainder of the month, P25,200.
1. Paid salaries of the part-time assistants, P11,200.
m. Labausa withdrew cash for personal use, P15,500.
Required:
Record the transactions for the month of March 2019 using a financial transaction
worksheet. Use the following accounts: Cash; Accounts Receivable; Prepaid Insurance;
Service Vehicle; Equipment; Accounts Payable; and Labausa, Capital. If the owner's
equity account is affected by a transaction, identify it as revenue, expense, investment
or withdrawal.
Transcribed Image Text:Problem #14 Recording Transactions in a Financial Transaction Worksheet On Mar. 1, 2019, Froilan Labausa established Labausa Catering Service. Transactions completed during the month are as follows: a. Labausa deposited P165,000 in a bank account in the name of the business. b. Bought a service vehicle from Elpidio Motors for P194,900, paying P25,000 in cash and placing the balance on account. c. Bought catering equipment on account from Quirino Equipment, P28,500. d. Paid rent for the month, P6,200. e. Rendered catering services for cash for the first half of the month, P24,200. f. Bought supplies for cash, P1,800. 8. Bought insurance for the service vehicle for one year, P4,000. h. 1. Received and paid the utilities bill, P6,040. Received a bill from Manila Gas for gas and oil used by the service vehicle for the month, P6,080. j. Rendered catering services on account, P28,240. k. Performed catering services for cash for the remainder of the month, P25,200. 1. Paid salaries of the part-time assistants, P11,200. m. Labausa withdrew cash for personal use, P15,500. Required: Record the transactions for the month of March 2019 using a financial transaction worksheet. Use the following accounts: Cash; Accounts Receivable; Prepaid Insurance; Service Vehicle; Equipment; Accounts Payable; and Labausa, Capital. If the owner's equity account is affected by a transaction, identify it as revenue, expense, investment or withdrawal.
Account Title
CASH
ACCOUNTS RECEIVABLE
SUPPLIES
PREPAID RENT
EQUIPMENT
ACCU DEPRECIATION
ACCOUNTS PAYABLE
NOTES PAYABLE
UTILITIES PAYABLE
INTEREST PAYABLE
SERVICE REVENUE
WAGES EXPENSE
SUPPLIES EXPENSE
RENT EXPENSE
DEPRECIATION EXPENSE
ELECTRICITY EXPENSE
TELEPHONE EXPENSE
INTEREST EXPENSE
Totals
Unadjusted Trial Balance
Debit
Credit
10430.00
5900.00
22807.00
24000.00
37000.00
18200.00
2470.00
1494.00
5200.00
30537.00
3964.00
82600.00
122301.00 122301.00
Debit
Adjustments
Credit
18480.00
12000.00
1100.00
150.00
31730.00
18480.00
12000.00
1100.00
150.00
Adjusted Trial Balance
Credit
Debit
10430.00
5900.00
4327.00
12000.00
37000.00
1100.00
5200.00
30537.00
3964.00
150.00
82600.00
18200.00
18480.00
12000.00
1100.00
2470.00
1494.00
150.00
31730.00 123551.00 123551.00
Transcribed Image Text:Account Title CASH ACCOUNTS RECEIVABLE SUPPLIES PREPAID RENT EQUIPMENT ACCU DEPRECIATION ACCOUNTS PAYABLE NOTES PAYABLE UTILITIES PAYABLE INTEREST PAYABLE SERVICE REVENUE WAGES EXPENSE SUPPLIES EXPENSE RENT EXPENSE DEPRECIATION EXPENSE ELECTRICITY EXPENSE TELEPHONE EXPENSE INTEREST EXPENSE Totals Unadjusted Trial Balance Debit Credit 10430.00 5900.00 22807.00 24000.00 37000.00 18200.00 2470.00 1494.00 5200.00 30537.00 3964.00 82600.00 122301.00 122301.00 Debit Adjustments Credit 18480.00 12000.00 1100.00 150.00 31730.00 18480.00 12000.00 1100.00 150.00 Adjusted Trial Balance Credit Debit 10430.00 5900.00 4327.00 12000.00 37000.00 1100.00 5200.00 30537.00 3964.00 150.00 82600.00 18200.00 18480.00 12000.00 1100.00 2470.00 1494.00 150.00 31730.00 123551.00 123551.00
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Cengage