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General journal... 1. fee income to income summary 2. expenses yo income summary 3. net income...

Question

General journal... 1. fee income to income summary 2. expenses yo income summary 3. net income...

Dorsey Companys partial worksheet for the month ended March 31, 2019, is shown below. Open the owners capital account (acco

General Journal General Trial Balance Ledger Prepare a journal entries for the Dorsey Companys on March 31, 2019. View trans

General journal...
1. fee income to income summary
2. expenses yo income summary
3. net income or loss from income summary to capital
4. drawings to capital account

General Ledger. post the closing entries to owner's capital account

Trial Balance....prepare a post closing trial balance

Dorsey Company's partial worksheet for the month ended March 31, 2019, is shown below. Open the owner's capital account (account number 301) in the general ledger and record the March 1, 2019, balance of $38,500 shown on the worksheet. INCOME STATEMENT BALANCE SHEET ACCOUNT NAME DEBIT CREDIT CREDIT DEBIT 9, 800 13,6ee 5,150 36, 5ee Cash Accounts Receivable Supplies Equipment Accum. Depr. - Equip. Accounts Payable N. Dorsey, Capital N. Dorsey, Drawing 12,600 10,800 38,500 4,300 28, 200 Fees Income Salaries Expense Rent Expense Supplies Expense Depr. Exp. -Equip. Totals Net Income 14,700 2,050 1,350 2,650 20,750 7,450 61.900 7,450 28, 200 69,350 69.350 28, 200 69,350 28.200 Prepare a journal entries for the Dorsey Company's on March 31, 2019. Post the closing entries to the owner's capital account. Prepare a postclosing trial balance. Complete this question by entering your answers in the tabs below. General General Journal Trial Balance Ledger Prepare a journal entries for the Dorsey Company's on March 31, 2019. < Prev 9 of 10 Next>
General Journal General Trial Balance Ledger Prepare a journal entries for the Dorsey Company's on March 31, 2019. View transaction list Journal entry worksheet 3 Record entry to transfer fees income to income summary. Note: Enter debits before credits. Date General Journal Debit Credit Mar 31, 2019 View general journal Clor entry Recond entry

Answers

Date

General journal

Debit

Credit

Mar. 31, 2019

Fees income

28200

Income summary

28200

(to record transfer of fees income to income summary)

Mar. 31, 2019

Income summary

20750

Salaries expense

14700

Rent expense

2050

Supplies expense

1350

Depreciation expense-equipment

2650

(to record transfer of expenses to income summary)

Mar. 31, 2019

Income summary

7450

N. Dorsey, Capital

7450

(to record transfer of net income or net loss from income summary to capital)

Mar. 31, 2019

N. Dorsey, Capital

4300

N. Dorsey, Drawing

4300

(to record transfer of drawings to capital account)

Part 2

General ledger

N. Dorsey, Capital

ACCOUNT NO. 301

Date

Debit

Credit

Balance

Mar. 1, 2019

38500

Mar. 31, 2019

7450

45950

Mar. 31, 2019

4300

41650

Part 3

DORSEY COMPANY

Postclosing Trial Balance

March 31, 2019

Account name

Debit

Credit

Cash

9800

Accounts receivable

13600

Supplies

5150

Equipment

36500

Accumulated Depreciation-equipment

12600

Accounts payable

10800

N. Dorsey, Capital

41650

Total

65050

65050


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