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Selected transactions for Sophie's Dog Care are as follows during the month of March. 1 Paid monthly rent of $910. 3 Performed services for $110 on account. 5 Performed services for cash of $55. 8 Purchased equipment for $455. The company paid cash of $60 and the balance was on account. 12 Received cash from customers billed on March 3. 14 Paid wages to employees of $400. 22 Paid utilities of $54. 24 Borrowed $1, 140 from Grafton State Bank by signing a note. 27 Paid $170 to repair service for plumbing repairs. 28 Paid balance amount owed from equipment purchase on March 8. 30 Paid $1, 370 for six months of insurance. Journalize the transactions. (If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.)

User Holroy
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Answer:

1 Paid monthly rent of $910.

Dr Rent expense 910

Cr Cash 910

3 Performed services for $110 on account.

Dr Accounts receivable 110

Cr Service revenue 110

5 Performed services for cash of $55.

Dr Cash 55

Cr Service revenue 55

8 Purchased equipment for $455. The company paid cash of $60 and the balance was on account.

Dr Equipment 455

Cr Cash 60

Cr Accounts payable 395

12 Received cash from customers billed on March 3.

Dr Cash 110

Cr Accounts receivable 110

14 Paid wages to employees of $400.

Dr Wages expense 400

Cr Cash 400

22 Paid utilities of $54.

Dr Utilities expense 54

Cr Cash 54

24 Borrowed $1,140 from Grafton State Bank by signing a note.

Dr Cash 1,140

Cr Notes payable 1,140

27 Paid $170 to repair service for plumbing repairs.

Dr Repairs expense 170

Cr Cash 170

28 Paid balance amount owed from equipment purchase on March 8.

Dr Accounts payable 395

Cr Cash 395

30 Paid $1, 370 for six months of insurance.

Dr Prepaid insurance 1,370

Cr Cash 1,370

User Lewis Cirne
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