Following is the chart of accounts of Elden Realty Company: Assets Revenue 111 Cash 411 Professional Fees 113 Accounts Receivable   115 Supplies Expenses 117 Prepaid Insurance 511 Salary Expense 124 Office Furniture 512 Rent Expense   513 Advertising Expense Liabilities 514 Utilities Expense 211 Accounts Payable       Owner's Equity   311 T. Elden, Capital   312 T. Elden, Drawing   Elden completed the following transactions during April (the first month of business): April 1    Elden deposited $12,000 in a bank account in the name of the business. 5    Sold realty services on account to R. Miller, $2,810, Inv. No. 100. 7    Paid a bill for advertising, $140, Ck. No. 1001. 8    Bought supplies on account from Taylor Supply, $110, Inv. No. 2340. 9    Performed realty services for clients for cash, $3,230. 15    Received and paid the bill for utilities, $115, Ck. No. 1002. 17    Bought a desk and chair from Lewis Furniture, $600, paying $80 in cash and placing the balance on account, Ck. No. 1003. 20    Bought liability insurance for one year, $420, Ck. No. 1004. 21    Paid the rent for the current month, $300, Ck. No. 1005. 25    Paid on account to Taylor Supply, $110, for supplies purchased on April 8, Ck. No. 1006. 27    Received $2,810 from R. Miller for services performed on April 5. 28    Received and paid the telephone bill for the month, $105, Ck. No. 1007. 29    Paid the salary of the office assistant, $420, Ck. No. 1008. 30    Elden withdrew cash for his personal use, $700, Ck. No. 1009. Required: 1. Journalize the transactions for April in the general journal. If no amount is required, leave the entry box blank. 2. Post the entries to the general ledger accounts. For multiple entries with the same date, enter in the order from the journal entries in Part 1. If no amount is required, leave the entry box blank. ACCOUNT Cash ACCOUNT NO. 111     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                               1                               1                               1                               1                               1                               1                               1                               1                               1                               1                               1                                           ACCOUNT Accounts Receivable ACCOUNT NO. 113     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                               1                                           ACCOUNT Supplies ACCOUNT NO. 115     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Prepaid Insurance ACCOUNT NO. 117     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Office Furniture ACCOUNT NO. 124     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Accounts Payable ACCOUNT NO. 211     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                               1                               1                                           ACCOUNT T. Elden, Capital ACCOUNT NO. 311     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT T. Elden, Drawing ACCOUNT NO. 312     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Professional Fees ACCOUNT NO. 411     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                               1                                           ACCOUNT Salary Expense ACCOUNT NO. 511     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Rent Expense ACCOUNT NO. 512     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Advertising Expense ACCOUNT NO. 513     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                                           ACCOUNT Utilities Expense ACCOUNT NO. 514     DATE ITEM POST.REF. DEBIT CREDIT BALANCE   DEBIT CREDIT   20--                   Apr.     1                               1

College Accounting, Chapters 1-27 (New in Accounting from Heintz and Parry)
22nd Edition
ISBN:9781305666160
Author:James A. Heintz, Robert W. Parry
Publisher:James A. Heintz, Robert W. Parry
Chapter15: Financial Statements And Year-end Accounting For A Merchandising Business
Section: Chapter Questions
Problem 9SPB: FINANCIAL RATIOS Use the work sheet and financial statements prepared in Problem 15-8B. All sales...
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Following is the chart of accounts of Elden Realty Company:

Assets Revenue
111 Cash 411 Professional Fees
113 Accounts Receivable  
115 Supplies Expenses
117 Prepaid Insurance 511 Salary Expense
124 Office Furniture 512 Rent Expense
  513 Advertising Expense
Liabilities 514 Utilities Expense
211 Accounts Payable  
   
Owner's Equity  
311 T. Elden, Capital  
312 T. Elden, Drawing  

Elden completed the following transactions during April (the first month of business):
April 1    Elden deposited $12,000 in a bank account in the name of the business.
5    Sold realty services on account to R. Miller, $2,810, Inv. No. 100.
7    Paid a bill for advertising, $140, Ck. No. 1001.
8    Bought supplies on account from Taylor Supply, $110, Inv. No. 2340.
9    Performed realty services for clients for cash, $3,230.
15    Received and paid the bill for utilities, $115, Ck. No. 1002.
17    Bought a desk and chair from Lewis Furniture, $600, paying $80 in cash and placing the balance on account, Ck. No. 1003.
20    Bought liability insurance for one year, $420, Ck. No. 1004.
21    Paid the rent for the current month, $300, Ck. No. 1005.
25    Paid on account to Taylor Supply, $110, for supplies purchased on April 8, Ck. No. 1006.
27    Received $2,810 from R. Miller for services performed on April 5.
28    Received and paid the telephone bill for the month, $105, Ck. No. 1007.
29    Paid the salary of the office assistant, $420, Ck. No. 1008.
30    Elden withdrew cash for his personal use, $700, Ck. No. 1009.

Required:

1. Journalize the transactions for April in the general journal. If no amount is required, leave the entry box blank.
2. Post the entries to the general ledger accounts. For multiple entries with the same date, enter in the order from the journal entries in Part 1. If no amount is required, leave the entry box blank.
ACCOUNT Cash ACCOUNT NO. 111
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
        1                      
                   
ACCOUNT Accounts Receivable ACCOUNT NO. 113
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
        1                      
                   
ACCOUNT Supplies ACCOUNT NO. 115
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Prepaid Insurance ACCOUNT NO. 117
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Office Furniture ACCOUNT NO. 124
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Accounts Payable ACCOUNT NO. 211
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
        1                      
        1                      
                   
ACCOUNT T. Elden, Capital ACCOUNT NO. 311
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT T. Elden, Drawing ACCOUNT NO. 312
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Professional Fees ACCOUNT NO. 411
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
        1                      
                   
ACCOUNT Salary Expense ACCOUNT NO. 511
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Rent Expense ACCOUNT NO. 512
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Advertising Expense ACCOUNT NO. 513
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
                   
ACCOUNT Utilities Expense ACCOUNT NO. 514
 
 
DATE

ITEM
POST.
REF.

DEBIT

CREDIT
BALANCE  
DEBIT CREDIT
  20--                
  Apr.     1                      
        1                      
                 
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