ACC 557 TUTOR Great Stories /acc557tutor.com ACC 557 TUTOR Great Stories /acc557tutor.com | Page 13
E2-11 : Presented below is the ledger for sparks Co. ............
a) Reproduce the journal entries for the transactions that
occurred on October............
b)
Determine the October 31 balance for each of the accounts
above............
P2-2A : Kara shin is a licensed CPA. During the first month of
operations of her business, Kara Shin, Inc., the following events
and transaction occurred.
a) Journalize the transactions............
b) Post to ledger accounts............
c) Prepare a trial balance on May 31, 2014............
==============================================
ACC 557 Week 2 Chapter 3 (E3-6, E3-7, E3-11, P3-2A)
FOR MORE CLASSES VISIT
www.acc557tutor.com
ACC 557 Week 2 Chapter 3 (E3-6, E3-7, E3-11, P3-2A)
E3-6 : Orwell company accumulates the following adjustment
data at December 31
a) The type of adjustment ............
b) The status of accounts before adjustment............