Loading...

Messages

Proposals

Stuck in your homework and missing deadline? Get urgent help in $10/Page with 24 hours deadline

Get Urgent Writing Help In Your Essays, Assignments, Homeworks, Dissertation, Thesis Or Coursework & Achieve A+ Grades.

Privacy Guaranteed - 100% Plagiarism Free Writing - Free Turnitin Report - Professional And Experienced Writers - 24/7 Online Support

Acct 212 course project 2

28/12/2020 Client: saad24vbs Deadline: 2 Day

Menu

ACCT 212: Course Project

Requirement Requirement Description Worksheet Name

1 Prepare the Journal Entries in the General Journal 1 - Journal Entries

2 Post Journal Entries to the General Ledger 2 - General Ledger

3 Prepare a Trial Balance 3 - Trial Balance

4 Prepare the Adjusting Entries 4 - Adjusting Entries

5 Post Adjusting Entries to the General Ledger 2 - General Ledger

6 Prepare an Adjusted Trial Balance 5 - Adjusted TB

7 Prepare the Financial Statements 6 - Financial Statements

8 Prepare the Closing Entries 7 - Closing Entries

9 Post Closing Entries to the General Ledger 2 - General Ledger

10 Prepare the Post Closing Trial Balance 8 - Post Closing Trial Balance

Project Instructions

Course Project Overview

The Course Project consists of 10 Requirements for you to complete. The Course Project is due at the end of Week 6. See the Syllabus section ”Due Dates for Assignments & Exams” for due date information. All of the information you need to complete the Course Project is located in this Workbook. • There are eight worksheets in the workbook you will need to complete. • A list of March transactions • A Chart of Accounts reference sheet • A Grading Rubric to help explain what is expected. • Each worksheet has the Check Figures embedded as a comment.

Scenario

You’ve just secured a new client in your accounting practice, Bethany's Bicycle Corporation (BBC), a brand new small business specializing in bicycle repair. The owner, Bethany Beck, is a terrific cyclist and bike repair specialist, but definitely not an accountant. Your job is to helpBethany put his affairs in order. Luckily Bethany has only been in operation for a month and things have not gotten too out of hand yet! Bethany has to submit his financial statements to her investors and doesn’t know where to begin. It’s your job to go through the complete Accounting cycle to prepare the financial statements for the BBC.

Requirements

Guidelines

Use the embedded assistance in the template, guidance in your textbook, and examples in the weekly lectures to complete this project. Should you have any questions contact your professor.

Before You Begin:  Review the Week 2 Lecture prior to starting work on this project.  Print the Chart of Accounts and October Transactions worksheets for your reference. You will need to refer to both throughout the project.  Review the Grading Criteria.  SAVE your work frequently in this workbook.


March Transactions

During its first month of operation, the Bethany's Bicycle Corporation, which specializes in bicycle repairs, completed the following transactions.

March Transactions

Date Transaction Description

March 1 Began business by making a deposit in a company bank account of $20,000, in exchange for 2,000 shares of $10 par value common stock.

March 1 Paid the premium on a 1-year insurance policy, $2,400.

March 1 Paid the current month's store rent expense, $1,900.

March 3 Purchased repair equipment from Andrew Company, $5,800. Paid $1,000 down and the balance was placed on account. Payments will be $400.00 per month for 12 months. The first payment is due 4/1. Note: Use Accounts Payable for the Balance Due.

March 8 Purchased repair supplies from Jackson Company on credit, $650.

March 10 Paid telephone bill for March, $340.

March 11 Cash bicycle repair revenue for the first third of March, $1,650.

March 18 Made payment to Jackson Company, $400.

March 20 Cash bicycle repair revenue for the second third of March, $2,450.

March 31 Cash bicycle repair revenue for the last third of March, $1,250.

March 31 Paid the current month's electice bill, $250.

March 31 Declared and paid cash dividend of $1,000.

Chart of Accounts

Use the following account descriptions for journal entries.

Chart of Accounts

Account Type Account Number Account Title Normal Balance

Assets

111 Cash Debit

117 Prepaid Insurance Debit

119 Repair Supplies Debit

144 Repair Equipment Debit

145 Accum Dep -Repair Equipment Credit

Liabilities

212 Accounts Payable Credit

213 Income Tax Payable Credit

Stockholders Equity

311 Common Stock Credit

312 Retained Earnings Credit

313 Dividends Debit

Revenue

411 Bicycle Repair Revenue Credit

Expenses

511 Store Rent Expense Debit

512 Telephone Expense Debit

513 Insurance Expense Debit

514 Repair Supplies Expense Debit

515 Dep Expense - Repair Equipment Debit

516 Income Tax Expense Debit

517 Electric Expense Debit

1 - Journal Entries

REQUIREMENT #1: Prepare journal entries to record the March transactions in the General Journal below. Remember that Debits must equal Credits—All of your Journal Entries should balance.

General Journal

Date Account Number from Chart of Accounts tab Account Title from Chart of Accounts tab Debit Credit

0

Harris, Nicole: Debits = $38,090 - 0

Harris, Nicole: Credits = $38,090

Journal Entries


Once you've completed this requirement print your General Journal to complete Requirement #2 on the General Ledger worksheet.


2 - General Ledger

REQUIREMENT #2: Post the March journal entries to the following T-Accounts and compute ending balances.

Date Cash (111)

DeVry: The balance of the Cash account after posting journal entries for Part A should be $18,060 . Date Bicycle Repair Revenue (411)

Prepaid Insurance (117) Store Rent Expense (511)

Repair Supplies (119) Telephone Expense (512)

Repair Equipment (144) Insurance Expense (513)

Accum. Depr.-Repair Equipment (145) Repair Supplies Expense (514)

Accounts Payable (212) Depr. Exp.-Repair Equipment (515)

Income Taxes Payable (213) Income Taxes Expense (516)

Common Stock (311) Electric Expense (517)

Retained Earnings (312)

Dividends (313)

This worksheet will be used to complete Requirements #2, #5 and #9. Instructions for #5 can be found on the Adjusting Entries Worksheet. Instructions for #9 can be found on the Closing Entries Worksheet.


3 - Trial Balance

REQUIREMENT #3: Prepare a trial balance for March in the space below.

Bethany's Bicycle Corporation Trial Balance March 31

Account Account Balance

Number Title Debit Credit

0

User: Debit Balance = $30,400 0

User: Credit Balance = $30,400

Journal Entries


Only enter accounts that have a balance.


4 - Adjusting Entries

Requirement #4: Prepare adjusting entries using the following information in the General Journal below. Show your calculations! a) One month's insurance has expired. b) The remaining inventory of repair supplies is $200. c) The estimated depreciation on repair equipment is $120. d) The estimated income taxes are $65.

Requirement #5: Post the adjusting entries on March 31 below to the General Ledger T-accounts and compute adjusted balances. Just add to the balances that are already listed.

General Journal

Date Account Number from Chart of Accounts tab Account Title from Chart of Accounts tab Debit Credit

0

Bruce: Balance $406.00 0

Bruce: Balance $406.00

Journal Entries


5 - Adjusted TB

REQUIREMENT #6: Prepare an Adjusted Trial Balance in the space below.

Bethany's BicycleCorporation Adjusted Trial Balance March 31

Account Account Balance

Number Title Debit Credit

0

User: Debit Balance = $30,585 0

User: Credit Balance = $30,585

Journal Entries


Only enter accounts that have a balance.


6 - Financial Statements

Requirement #7: Prepare the financial statements for Bethany's Bicycle Corporation as of March 31 in the space below. You will only be preparing the Income Statement, Statement of Retained Earning, and the Balance Sheet. The Statement of Cash Flows is a required Financial Statement, but is not required for this project.

Bethany's Bicycle Corporation Bethany's Bicycle Corporation Bethany's Bicycle Corporation

Income Statement Statement of Retained Earnings Balance Sheet

For the Month Ending March 31 For the Month Ending March 31 March 31

Revenues: Retained Earnings, March 1 $0 Assets:

Bicycle Repair Revenue Add: Net Income Cash

Total Revenue 0 Subtotal 0 Prepaid Insurance

Less: Dividends Repair Supplies

Expenses: Retained Earnings, March 31 $0

User: Retained Earnings = $1,025 Repair Equipment

Store Rent Expense Less: Accum. Depr.

Telephone Expense Total Assets $0

User: $26,140

Insurance Expense

Repair Supplies Exp. Liabilities and Stockholders' Equity

Depreciation Exp. Liabilities:

Income Taxes Expense Accounts Payable

Electric Expense Income Taxes Payable

Total Expenses 0 Total Liabilities 0

Net Income 0

User: Net Income = $2,025 Stockholders' Equity:

Common Stock

Retained Earnings

Total Stockholders' Equity 0

Total Liabilities & Stockholders' Equity $0

User: $26,140

7 - Closing Entries

Requirement #8: Prepare the closing entries at March 31 in the General Journal below. Hint:Use the balances for each account which appear on the Adjusted Trial Balance for your closing entries.

Requirement #9: Post the closing entries to the T-Accounts on the General Ledger worksheet and compute ending balances. Just add to the adjusted balances already listed.

General Journal

Date Account Number from Chart of Accounts tab Account Title from Chart of Accounts tab Debit Credit

0

Bruce: Debit $9,675 0

Bruce: Credit $9,675

Journal Entries


See the Week 2 Lecture for examples of how to complete closing entries.


8 - Post Closing Trial Balance

Requirement #10: Prepare a post-closing trial balance as of March 31 in the space below.

Bethany's Bicycle Corporation Post-Closing Trial Balance March 31

Account Account Balance

Number Title Debit Credit

- 0

User: Debits = $26,260 - 0

User: Credits = 26,260

Journal Entries


Grading Rubric

Project 1 Grading Rubric - Students

Criteria Excellent Good Poor Very Poor

Parts: 90% to 100% 70% to 89% 50% to 69% Less than 50%

Step 1 —Journal Entries (20 points) Journal entries use accurate accounts and amounts; and debits and credits are used correctly. Journal entries mostly use accurate accounts and amounts; and debits and credits are used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are only somewhat used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are not used correctly.

Steps 2 and 3 —Posted and Unadjusted Trial Balance. (10 points) Posting is correct leading to an accurate trial balance. Posting is mostly correct leading to a mostly correct trial balance. Posting has several errors leading to a trial balance with several errors. Posting is done poorly or not at all, leading to inaccurate or no trial balance.

Step 4 —Adjusting Journal Entries (10 points) Journal entries use accurate accounts and amounts; and debits and credits are used correctly. Journal entries mostly use accurate accounts and amounts; and debits and credits are used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are only somewhat used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are not used correctly.

Steps 5 and 6 —Posted and Adjusted Trial Balance. (10 points) Posting is correct leading to an accurate trial balance. Posting is mostly correct leading to a mostly correct trial balance. Posting has several errors leading to a trial balance with several errors. Posting is done poorly or not at all, leading to inaccurate or no trial balance.

Step 7 —Financial Statements (10 points) All four financial statements are prepared accurately and in an appropriate format. Three of four financial statements are prepared accurately and mostly in an appropriate format, one statement has some errors. Two of four financial statements are prepared accurately and mostly in an appropriate format, two statements have some errors. One or fewer of four financial statements are prepared accurately and mostly in an appropriate format, three or all statements have some errors.

Step 8 —Closing Journal Entries (10 points) Journal entries use accurate accounts and amounts; and debits and credits are used correctly. Journal entries mostly use accurate accounts and amounts; and debits and credits are used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are only somewhat used correctly. Journal entries have some errors in use of accounts and amounts; and debits and credits are not used correctly.

Steps 9 and 10 —Posted and Post-closingTrial Balance. (10 points) Posting is correct leading to an accurate trial balance. Posting is mostly correct leading to a mostly correct trial balance. Posting has several errors leading to a trial balance with several errors. Posting is done poorly or not at all, leading to inaccurate or no trial balance.

Applied Sciences

Architecture and Design

Biology

Business & Finance

Chemistry

Computer Science

Geography

Geology

Education

Engineering

English

Environmental science

Spanish

Government

History

Human Resource Management

Information Systems

Law

Literature

Mathematics

Nursing

Physics

Political Science

Psychology

Reading

Science

Social Science

Home

Blog

Archive

Contact

google+twitterfacebook

Copyright © 2019 HomeworkMarket.com

Homework is Completed By:

Writer Writer Name Amount Client Comments & Rating
Instant Homework Helper

ONLINE

Instant Homework Helper

$36

She helped me in last minute in a very reasonable price. She is a lifesaver, I got A+ grade in my homework, I will surely hire her again for my next assignments, Thumbs Up!

Order & Get This Solution Within 3 Hours in $25/Page

Custom Original Solution And Get A+ Grades

  • 100% Plagiarism Free
  • Proper APA/MLA/Harvard Referencing
  • Delivery in 3 Hours After Placing Order
  • Free Turnitin Report
  • Unlimited Revisions
  • Privacy Guaranteed

Order & Get This Solution Within 6 Hours in $20/Page

Custom Original Solution And Get A+ Grades

  • 100% Plagiarism Free
  • Proper APA/MLA/Harvard Referencing
  • Delivery in 6 Hours After Placing Order
  • Free Turnitin Report
  • Unlimited Revisions
  • Privacy Guaranteed

Order & Get This Solution Within 12 Hours in $15/Page

Custom Original Solution And Get A+ Grades

  • 100% Plagiarism Free
  • Proper APA/MLA/Harvard Referencing
  • Delivery in 12 Hours After Placing Order
  • Free Turnitin Report
  • Unlimited Revisions
  • Privacy Guaranteed

6 writers have sent their proposals to do this homework:

Top Essay Tutor
University Coursework Help
Helping Hand
Homework Guru
Best Coursework Help
Writer Writer Name Offer Chat
Top Essay Tutor

ONLINE

Top Essay Tutor

I have more than 12 years of experience in managing online classes, exams, and quizzes on different websites like; Connect, McGraw-Hill, and Blackboard. I always provide a guarantee to my clients for their grades.

$45 Chat With Writer
University Coursework Help

ONLINE

University Coursework Help

Hi dear, I am ready to do your homework in a reasonable price.

$42 Chat With Writer
Helping Hand

ONLINE

Helping Hand

I am an Academic writer with 10 years of experience. As an Academic writer, my aim is to generate unique content without Plagiarism as per the client’s requirements.

$40 Chat With Writer
Homework Guru

ONLINE

Homework Guru

Hi dear, I am ready to do your homework in a reasonable price and in a timely manner.

$42 Chat With Writer
Best Coursework Help

ONLINE

Best Coursework Help

I am an Academic writer with 10 years of experience. As an Academic writer, my aim is to generate unique content without Plagiarism as per the client’s requirements.

$40 Chat With Writer

Let our expert academic writers to help you in achieving a+ grades in your homework, assignment, quiz or exam.

Similar Homework Questions

Cryptography in cloud computing pdf - Esp surgex diagnostic tool - Johnson theory of nursing ppt - According to our textbook the original creation - Enlightenment salon party answer key - Barry manilow t shirt study - Western sydney university branding - The space between self esteem and self compassion - Finance Discussion 2 - Is inspector goole a ghost - 107.1 kg in stone - Plop plop fizz fizz science project - Charge to mass ratio - Blue collar brilliance they say i say - Complying fund letter hesta - Www lufthansa com us en free baggage rules - Hno3 + koh ionic equation - Adafruit 32x32 led matrix - The difference between scientific theory and law - Self referral physio worthing hospital - Hp alm browser compatibility - Gibson energy ltd bank reconciliation - A young birch by robert frost analysis - HIV/AIDS Epidemiology - Emphasis and subordination in art examples - Bdawk6paper - 1/75 somerset st richmond - What does clarisse symbolize in fahrenheit 451 - Global Crime & Justice - Monkey puzzle keith haring colors - Intel in costa rica case study - Stores material within the cell - According to gonzalez what is the connotation of appassionato - Positioning presentation mkt 421 - Naf strong or weak - Future of Work - Building intelligence center hvac - Briefcase lock decoding tool - Volume and capacity stage 3 - Density of a gummy bear - Rotational motion lab report discussion - The magic hat book activities - Simulation review paper hcs 405 - What does faber mean when he says books have pores - Student centre notre dame - Pestle analysis tesco 2018 - Buescher cornet serial numbers - Monash citing and referencing library guide - Health science technology lesson plans - Most common causes of fire in nhs - 18 fraser street queenscliff - Universaldigitalcopy com sign in - What is 59.7 kg in stones - A rose for emily summary shmoop - Consider a profit maximizing firm in a competitive industry - Slow learners their psychology and instruction - Mayo doused batter fried grackle bugs with honey walnuts - Contradiction 5 to 10 sentences - Different levels of formality - Why did northerners oppose the fugitive slave act - Emperor of china self portrait of kang hsi - crisis simulation - How to calculate field of view biology - 3 possible repercussions of failing to use netiquette - No gumption by russell baker questions and answers - Rpc server is unavailable uipath - Omgeo alert best practice - Psychology questions - Chase strategy in supply chain management - AstroloGy bAbA 7340613399 OnLinE reaL VashIKaraN sPecIaLIsT IN Junagadh - Zinn study question answers - Research paper - The word worldview is derived from two german words meaning “world” and “perception.” - William f baxter addresses environmental ethics by noting - Lesson plans for bridge to terabithia - Universal studio research - Ucl outlook sign in - Lithium carbonate and nitric acid - Pump power calculation in si units - Nursing 590 - Listening by eudora welty answers - Gogo pride mobility scooter manual - Define sociocentrism - Lab exercise 1 plate tectonics - Importance of traffic rules and signs - Doo wop chart topper for the marcels - SCM Essay - Ocean assessment - 32 karat software windows 10 - What are patricia benner's five levels of proficiency in nursing - Happy cruise lines er diagram - Apply porter's value chain model to costco - Owasp secure coding practices quick reference guide 2017 - Bus timetable 320 watford - Unit 8 p3 e commerce - Cpm 4e - 156.5 cm in feet - British isles weather diary - Http ausvels vcaa vic edu au - Cybersecurity