AA AB AC AD AE AF A AH Al AJ AK AM AN AO AP AR AS AT KAIZEN CONSULTANCY KAIZEN CONSULTANCY SERVICES GENERAL JOURNAL KAIZEN CONSULTANCY SERVICES GENERAL LEDGER UNADJUSTED TRIAL BALANCE FOR THE MONTH OF MARCH, 2019 FOR THE MONTH OF MARCH, 2019 MARCH 31, 2019 POST POST DATE PARTICULARS DEBIT CREDIT Debit Credit REF REF: 01 - Mar 110 P Cash Equipment 50,000.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 130 P 20,000.00 C. Hahn, Capital 310 70,000.00 Equipment Accounts Payable 03-Mar 130 15,000.00 210 15,000.00 06- Mar Accounts Receivable 120 P 12,000.00 Service Revenue 410 12,000.00 l06- Mar Accounts Payable 210 P 5,000.00 OST REF: Cash 110 5,000.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 07- Mar Cash 110 8,000.00 Service Revenue 410 8,000.00 08- Mar Cash 110 3,000.00 Accounts Receivable 120 3,000.00 10- Mar Utilities Expense 520 P 2,800.00 Cash 110 2,800.00 OST REF: Totals Accounts Payable Equipment 12 - Mar 210 1,500.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 130 1,500.00 13- Mar C. Hahn, Drawings 320 9,000.00 Accounts Receivable 120 9,000.00

Quickbooks Online Accounting
3rd Edition
ISBN:9780357391693
Author:Owen
Publisher:Owen
Chapter3: Setting Up A New Company
Section: Chapter Questions
Problem 4.8C
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complete the general ledger and unadjusted trial balance

AA
AB
AC
AD
AE
AF
AC
АН
AI
AJ
AK
A
АМ
AN
AO
AP
AC
AR
AS
AT
7
KAIZEN CONSULTANCY SERVICES
KAIZEN CONSULTANCY SERVICES
KAIZEN CONSULTANCY
GENERAL JOURNAL
GENERAL LEDGER
UNADJUSTED TRIAL BALANCE
8
FOR THE MONTH OF MARCH, 2019
FOR THE MONTH OF MARCH, 2019
MARCH 31, 2019
9
POST
POST
DATE
PARTICULARS
DEBIT
CREDIT
Debit
Credit
10
REF
REF:
11
01 - Mar
Cash
110
50,000.00
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
12
Equipment
130 P
20,000.00
C. Hahn, Capital
70,000.00
13
310
14
Equipment
Accounts Payable
15
03-Mar
130
15,000.00
16
210
15,000.00
17
18
06- Mar
Accounts Receivable
120
12,000.00
19
Service Revenue
410
12,000.00
20
06- Mar
Accounts Payable
POST REF:
21
210
5,000.00
22
Cash
110
5,000.00
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
23
Cash
Service Revenue
24
07- Mar
110 P
8,000.00
25
410
8,000.00
26
27
08- Mar
Cash
110
3,000.00
28
Accounts Receivable
120
3,000.00
29
30
10- Mar
Utilities Expense
520
2,800.00
31
Cash
110
2,800.00
POST REF:
Totals
32
33
12 - Mar
Accounts Payable
210
1,500.00
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
34
Equipment
130
1,500.00
35
13- Mar
C. Hahn, Drawings
9,000.00
36
320
37
Accounts Receivable
120
9,000.00
38
Transcribed Image Text:AA AB AC AD AE AF AC АН AI AJ AK A АМ AN AO AP AC AR AS AT 7 KAIZEN CONSULTANCY SERVICES KAIZEN CONSULTANCY SERVICES KAIZEN CONSULTANCY GENERAL JOURNAL GENERAL LEDGER UNADJUSTED TRIAL BALANCE 8 FOR THE MONTH OF MARCH, 2019 FOR THE MONTH OF MARCH, 2019 MARCH 31, 2019 9 POST POST DATE PARTICULARS DEBIT CREDIT Debit Credit 10 REF REF: 11 01 - Mar Cash 110 50,000.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 12 Equipment 130 P 20,000.00 C. Hahn, Capital 70,000.00 13 310 14 Equipment Accounts Payable 15 03-Mar 130 15,000.00 16 210 15,000.00 17 18 06- Mar Accounts Receivable 120 12,000.00 19 Service Revenue 410 12,000.00 20 06- Mar Accounts Payable POST REF: 21 210 5,000.00 22 Cash 110 5,000.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 23 Cash Service Revenue 24 07- Mar 110 P 8,000.00 25 410 8,000.00 26 27 08- Mar Cash 110 3,000.00 28 Accounts Receivable 120 3,000.00 29 30 10- Mar Utilities Expense 520 2,800.00 31 Cash 110 2,800.00 POST REF: Totals 32 33 12 - Mar Accounts Payable 210 1,500.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 34 Equipment 130 1,500.00 35 13- Mar C. Hahn, Drawings 9,000.00 36 320 37 Accounts Receivable 120 9,000.00 38
AA
АВ
AC
AD
AE
AF
AC
АН
AI
AJ
AK
АМ
AN
AO
АР
AC
AR
AS
AT
22
Cash
110
5,000.00
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
23
24
07- Mar
Cash
110
8,000.00
25
Service Revenue
410
8,000.00
26
27
08- Mar
Cash
110
3,000.00
28
Accounts Receivable
120
3,000.00
29
30
10- Mar
Utilities Expense
520
2.800.00
31
Cash
110
2,800.00
32
POST REF:
Totals
33
12 - Mar
Accounts Payable
210 | P
1,500.00
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
34
Equipment
130
1,500.00
35
36
13- Mar
C. Hahn, Drawings
320
9,000.00
Accounts Receivable
9,000.00
37
120
38
14- Mar
Utilities Payable
230 P
39
2,800.00
40
Cash
110
2,800.00
41
15 - Mar
Caleb, Drawings
310 P
40,000.00
42
43
Cash
110
40,000.00
POST REF:
44
DATE
ITEMS
DEBIT
DATE
ITEMS
CREDIT
45
23- Mar
Accounts Payable
210 P
8,500.00
46
Cash
110
8,500.00
47
48
24- Mar
Accounts Payable
210 P
14,000.00
49
Cash
110
14,000.00
50
51
28- Mr
Telephone Bill
520 P
3,600.00
52
Caleb, Drawings
320 | P
6,000.00
53
Cash
110
9,600.00
54
POST REF:
Transcribed Image Text:AA АВ AC AD AE AF AC АН AI AJ AK АМ AN AO АР AC AR AS AT 22 Cash 110 5,000.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 23 24 07- Mar Cash 110 8,000.00 25 Service Revenue 410 8,000.00 26 27 08- Mar Cash 110 3,000.00 28 Accounts Receivable 120 3,000.00 29 30 10- Mar Utilities Expense 520 2.800.00 31 Cash 110 2,800.00 32 POST REF: Totals 33 12 - Mar Accounts Payable 210 | P 1,500.00 DATE ITEMS DEBIT DATE ITEMS CREDIT 34 Equipment 130 1,500.00 35 36 13- Mar C. Hahn, Drawings 320 9,000.00 Accounts Receivable 9,000.00 37 120 38 14- Mar Utilities Payable 230 P 39 2,800.00 40 Cash 110 2,800.00 41 15 - Mar Caleb, Drawings 310 P 40,000.00 42 43 Cash 110 40,000.00 POST REF: 44 DATE ITEMS DEBIT DATE ITEMS CREDIT 45 23- Mar Accounts Payable 210 P 8,500.00 46 Cash 110 8,500.00 47 48 24- Mar Accounts Payable 210 P 14,000.00 49 Cash 110 14,000.00 50 51 28- Mr Telephone Bill 520 P 3,600.00 52 Caleb, Drawings 320 | P 6,000.00 53 Cash 110 9,600.00 54 POST REF:
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