Lori Callebaut opened Callebaut Cleaning Service, AG on July 1, 2017. During July the following transactions were completed

Accounting & FinanceFinancial AccountingWorked Solution

Lori Callebaut opened Callebaut Cleaning Service, AG on July 1, 2017. During July the following transactions were completed.

July 1 Shareholders invested €20,000 cash in the business in exchange for ordinary shares.

1 Purchased used truck for €12,000, paying €4,000 cash and the balance on account.

3 Purchased cleaning supplies for €2,100 on account.

5 Paid €3,600 cash on one-year insurance policy effective July 1.

12 Billed customers €5,900 for cleaning services performed.

18 Paid €1,500 cash on amount owed on truck and €1,400 on amount owed on cleaning supplies.

20 Paid €4,500 cash for employee salaries.

21 Collected €4,400 cash from customers billed on July 12.

25 Billed customers €9,400 for cleaning services performed.

31 Paid €400 for the monthly gasoline bill for the truck.

31 Declared and paid a €1,200 cash dividend.

The chart of accounts for Callebaut Cleaning Service contains the following accounts: No. 101 Cash, No. 112 Accounts Receivable, No. 126 Supplies, No. 130 Prepaid Insurance, No. 157 Equipment, No. 158 Accumulated Depreciation—Equipment, No. 201 Accounts Payable, No. 212 Salaries and Wages Payable, No. 311 Share Capital—Ordinary, No. 320 Retained Earnings, No. 332 Dividends, No. 350 Income Summary, No. 400 Service Revenue, No. 633 Gasoline Expense, No. 631 Supplies Expense, No. 711 Depreciation Expense, No. 722 Insurance Expense, and No. 726 Salaries and Wages Expense.

Instructions

(a) Journalize and post the July transactions. Use page J1 for the journal and the three-column form of account.

(b) Prepare a trial balance at July 31 on a worksheet.

(c) Enter the following adjustments on the worksheet and complete the worksheet.

(1) Services performed but unbilled and uncollected at July 31 were €3,300.

(2) Depreciation on equipment for the month was €500.

(3) One-twelfth of the insurance expired.

(4) An inventory count shows €560 of cleaning supplies on hand at July 31.

(5) Accrued but unpaid employee salaries were €2,200.

(d) Prepare the income statement and retained earnings statement for July and a classified statement of financial position at July 31.

(e) Journalize and post adjusting entries. Use page J2 for the journal.

(f) Journalize and post closing entries and complete the closing process. Use page J3 for the journal.

(g) Prepare a post-closing trial balance at July 31.

SOLUTION

(a)

General Journal J1

DateAccount TitlesRef.DebitCredit
July 1Cash10120,000
Share capital—ordinary31120,000
1Equipment15712,000
Cash1014,000
Accounts Payable2018,000
3Supplies1262,100
Accounts Payable2012,100
5Prepaid Insurance1303,600
Cash1013,600
12Accounts Receivable1125,900
Service Revenue4005,900
18Accounts Payable2012,900
Cash1012,900
20Salaries and Wages Expense7264,500
Cash1014,500
21Cash1014,400
Accounts Receivable1124,400
25Accounts Receivable1129,400
Service Revenue4009,400
31Gasoline Expense633400
Cash101400
31Dividends3321,200
Cash1011,200

CONTINUE TO NEXT PAGE…………….

(b) & (c)

CALLEBAUT CLEANING SERVICE, AG Worksheet For the Month Ended July 31, 2017
Account TitlesTrial BalanceTrial BalanceTrial BalanceAdjustmentsAdjustmentsAdjustmentsAdjusted Trial BalanceAdjusted Trial BalanceAdjusted Trial BalanceIncome StatementIncome StatementIncome StatementStatement of Financial sheetStatement of Financial sheetStatement of Financial sheet
Dr.Cr.Dr.Cr.Dr.Cr.Dr.Cr.Dr.Cr.
Cash Accounts Receivable Supplies Prepaid Insurance Equipment Accounts Payable Share Capital—Ordinary Dividends Service Revenue Gasoline Expense Salaries and Wages Expense Totals Depreciation Expense Accum. Depr.—Equipment Insurance Expense Supplies Expense Salaries and Wages Payable Totals Net Income Totals7,800 10,900 2,100 3,600 12,000 1,200 400 4,500 42,5007,200 20,000 15,300 42,500(a) 3,300 (e) 2,200 (b) 500 (c) 300 (d) 1,540 7,840(d) 1,540 (c) 300 (a) 3,300 (b) 500 (e) 2,200 7,8407,800 14,200 560 3,300 12,000 1,200 400 6,700 500 300 1,540 48,5007,200 20,000 18,600 500 2,200 48,500400 6,700 500 300 1,540 9,440 9,160 18,60018,600 18,600 18,6007,800 14,200 560 3,300 12,000 1,200 39,060 39,0607,200 20,000 500 2,200 29,900 9,160 39,060
Key: (a) Service Revenue Earned; (b) Depreciation Expense; (c) Insurance Expired; (d) Cleaning Supplies Used; (e) Unpaid Salaries.

CONTINUE TO NEXT PAGE……………

(a), (e) & (f)

Cash No. 101

DateExplanationRef.DebitCreditBalance
July 1J120,00020,000
1J14,00016,000
5J13,60012,400
18J12,9009,500
20J14,5005,000
21J14,4009,400
31J14009,000
31J11,2007,800
Accounts ReceivableNo. 112
DateExplanationRef.DebitCreditBalance
July 12J15,9005,900
21J14,4001,500
25J19,40010,900
31AdjustingJ23,30014,200
SuppliesNo. 126
DateExplanationRef.DebitCreditBalance
July 3J12,1002,100
31AdjustingJ21,540560
Prepaid InsuranceNo. 130
DateExplanationRef.DebitCreditBalance
July 5J13,6003,600
31AdjustingJ23003,300
EquipmentNo. 157
DateExplanationRef.DebitCreditBalance
July 1J112,00012,000
Accumulated Depreciation—EquipmentNo. 158
DateExplanationRef.DebitCreditBalance
July 31AdjustingJ2500500
Accounts PayableNo. 201
DateExplanationRef.DebitCreditBalance
July 1J18,0008,000
3J12,10010,100
18J12,9007,200
Salaries and Wages PayableNo. 212
DateExplanationRef.DebitCreditBalance
July 31AdjustingJ22,2002,200
Share Capital—OrdinaryNo. 311
DateExplanationRef.DebitCreditBalance
July 1J120,00020,000
Retained EarningsNo. 320
DateExplanationRef.DebitCreditBalance
July 1
31ClosingJ39,1609,160
31ClosingJ31,2007,960
DividendsNo. 332
DateExplanationRef.DebitCreditBalance
July 31J11,2001,200
31ClosingJ31,2000
Income SummaryNo. 350
DateExplanationRef.DebitCreditBalance
July 31ClosingJ318,60018,600
31ClosingJ39,4409,160
31ClosingJ39,1600
Service RevenueNo. 400
DateExplanationRef.DebitCreditBalance
July 12J15,9005,900
25J19,40015,300
31AdjustingJ23,30018,600
31ClosingJ318,6000
Gasoline ExpenseNo. 633
DateExplanationRef.DebitCreditBalance
July 31J1400400
31ClosingJ34000
Supplies ExpenseNo. 631
DateExplanationRef.DebitCreditBalance
July 31AdjustingJ21,5401,540
31ClosingJ31,5400
Depreciation ExpenseNo. 711
DateExplanationRef.DebitCreditBalance
July 31AdjustingJ2500500
31ClosingJ35000
Insurance ExpenseNo. 722
DateExplanationRef.DebitCreditBalance
July 31AdjustingJ2300300
31ClosingJ33000
Salaries and Wages ExpenseNo. 726
DateExplanationRef.DebitCreditBalance
July 20J14,5004,500
31AdjustingJ22,2006,700
31ClosingJ36,7000

(d)

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