2 EvenSpringsPracticeSet Problem Data4
2 EvenSpringsPracticeSet Problem Data4
2 EvenSpringsPracticeSet Problem Data4
A Practice Problem
INTRODUCTION
This short practice problem gives you, the student, an opportunity to practice the accounting
concepts and skills acquired in an introductory financial accounting course. The objective of the
practice problem is to have you complete a comprehensive example of the accounting cycle.
You will evaluate transactions, use the general journal to record events, adjust the accounts,
close the temporary accounts, maintain an ongoing general ledger, prepare a worksheet and
prepare financial statements.
In following the instructions for the Practice Problem, keep in mind that an accountant prepares accounting
records in a neat fashion and in proper format. If you prepare this practice set by hand, using a pencil for the
accounting work gives you a better opportunity to maintain neat records.
COMPANY OPERATIONS
The Even Springs Trading Company, a sole proprietorship owned by Max Gator, began operations
at the beginning of the month in SmallTown, Texas. Even Springs sells items such as small office
machines, office supplies, magazines, make-up, hair products, etc. and is located in a new
shopping mall. Even Springs sells on account to some customers and on a cash basis to other
customers.
Even Springs has retained you to install the companys manual accounting system, to implement
the system, to maintain the companys accounting records, and to produce monthly financial
statements. The accounting system for accounting records and financial statements includes
the general journal, general ledger accounts, the worksheet, the Multiple-Step Income
Statement, the Statement of Owners Equity, and the classified Balance Sheet.
Additionally, Even Springs has asked you to prepare the unadjusted trial balance, the
adjusted trial balance, and the post-closing trial balance.
Information p 1 of 64
Information p 2 of 64
Account
101
105
106
108
110
120
123
125
126
130
131
200
205
210
215
300
305
400
402
404
501
510
512
514
516
518
520
525
530
535
540
Cash
Accounts Receivable
Allowance for Doubtful Accounts
Inventory
Office Supplies
Prepaid Rent
Prepaid Insurance
Store Fixtures
Accum. Depr.-Store Fixtures
Office Equipment
Accum. Depr.-Office Equipment
Accounts Payable
Salaries Payable
Interest Payable
Notes Payable
Capital
Withdrawals
Sales Revenue
Sales Returns and Allowances
Sales Discounts
Cost of Merchandise Sold
Salaries Expense
Freight-Out
Depreciation Expense
Rent Expense
Bad Debts Expense
Utilities Expense
Supplies Expense
Insurance Expense
Interest Expense
Bank Charges Expense
NOTE: All accounts are specified. Do not create any new accounts.
NOTE: List each account, in numerical order, in the general ledger.
NOTE: Each account listed on any trial balance or the worksheet should be listed in numerical order.
Information p 3 of 64
$ 35,000.00
$ 50,000.00
5
$ 5,000.00
Max hires a clerk to help with stocking of inventory and sales. Max will pay the clerk a monthly salary of
Max has instituted a payroll process of paying employees on the first and fifteenth of each month.
$ 2,800.00
Even Springs borrows cash from the Small Town Bank in the amount of.
The loan is for one year at the following interest rate of
$ 30,000.00
4%
$ 8,000.00
5
Even Springs pays cash to Office Depot for office supplies in the amount of
Even Springs orders inventory on credit from Texas Novelties with payment terms of 2/10, n/30.
The order was for the following number of items
The order cost for each item was
The total order on account from Texas Novelties was
500
$
20.00
$ 10,000.00
900.00
After inspecting the inventory, Even Springs returns the following number of items due to defects in quality
60
Therefore, the total amount of inventory returned to Texas Novelties was
$ 1,200.00
Even Springs will not expect a refund for any freight charges paid by Even Springs related to this return of inventory
14
After proper consideration of the discount terms, Even Springs pays for the inventory purchased on account
15
Even Springs makes a sale on account to Valley High School (terms 2/10, n/30, FOB destination)
The sale was for the following number of items
The sale price for each item was
400
30.00
Transactions p 4 of 64
$ 12,000.00
Even Springs paid Cajun Shipping to ship the goods to Valley High. Even Springs will not collect this from Valley.
The amount paid to Cajun for the shipping cost was
$
110.00
Transactions p 5 of 64
Even Springs paid the clerk hired back on the first of the month. Nothing was withheld from the clerk's salary payment.
16
Even Springs prepays American Republic Insurance Co. for an insurance policy lasting this number of months
The amount paid to American for the liability and casualty coverage policy was
6
$ 3,600.00
16
Even Springs buys Even Springs fixtures from Office Depot in the amount of
Even Springs made a cash down payment of
The remaining balance placed on account with Office Depot was
The equipment is estimated to last the following number of years
The estimated salvage value at the end of the estimated life will be
Even Springs fixtures will be depreciated on the double-declining-balance basis
$ 18,000.00
$ 4,000.00
$ 14,000.00
6
$ 1,000.00
16
Max Gator withdraws the following amount of cash from the company account
$ 3,500.00
18
Even Springs receives payment (after discount as appropriate) on the A/R with Valley High
20
Even Springs orders inventory on credit from Small Town Supply Company with payment terms of n/30.
The order was for the following number of items
The order cost for each item was
The total order on account from Small Town Supply Company was
500
$
22.00
$ 11,000.00
21
When the inventory arrives, Even Springs pays Small Town Shipping Company directly for the freight bill of
22
400
$
33.00
$ 13,200.00
$ 9,200.00
$ 4,000.00
23
Nearby Shrine returned this number of items for full refund; it did not have enough room to Even Springs the ite
26
Even Springs received a utility bill from Small Town Lighting and Power (due 7th of next month) in the amount of
225.00
30
$
310.00
Transactions p 6 of 64
31
Even Springs received its current month's bank statement, which it was able to reconcile after identifying the following:
Service charge by the bank in the amount of
$
50.00
Fee for new accounts in the amount of
$
10.00
Transactions p 7 of 64
***
100.00
170
2%
Remember that there may be other necessary adjustments in addition to those indicated above
Transactions p 8 of 64
Ref.
General Journal p 9 of 64
Ref.
General Journal p 10 of 64
General Journal p 11 of 64
Ref.
General Journal p 12 of 64
General Journal p 13 of 64
Ref.
General Journal p 14 of 64
Ref.
General Journal p 15 of 64
General Journal p 16 of 64
ny
Debit
Credit
General Journal p 17 of 64
ny
Debit
Credit
General Journal p 18 of 64
General Journal p 19 of 64
ny
Debit
Credit
General Journal p 20 of 64
General Journal p 21 of 64
ny
Debit
Credit
General Journal p 22 of 64
ny
Debit
Credit
General Journal p 23 of 64
General Journal p 24 of 64
Explanation
Ref.
Account: A/R
Day
Explanation
Ref.
General Ledger p 25 of 64
Explanation
Ref.
Account: Inventory
Day
Explanation
Ref.
Explanation
Ref.
General Ledger p 26 of 64
Explanation
Ref.
Explanation
Ref.
Explanation
Ref.
General Ledger p 27 of 64
Explanation
Ref.
Explanation
Ref.
Ref.
General Ledger p 28 of 64
Explanation
Ref.
Account: Salaries/P
Day
Explanation
Ref.
Account: Interest/P
Day
Explanation
Ref.
General Ledger p 29 of 64
General Ledger
Account: N/P
Day
Explanation
Ref.
Account: Capital
Day
Explanation
Ref.
Account Withdrawals
Day
Explanation
Ref.
General Ledger p 30 of 64
General Ledger
Account:Sales Revenue
Day
Explanation
Ref.
Ref.
Ref.
Explanation
General Ledger p 31 of 64
General Ledger
Account: Cost of Merchandise Sold
Day
Explanation
Ref.
Explanation
Ref.
Account: Freight-Out
Day
Explanation
Ref.
General Ledger p 32 of 64
Ref.
Explanation
Ref.
Explanation
Ref.
General Ledger p 33 of 64
Explanation
Ref.
Explanation
Ref.
Explanation
Ref.
General Ledger p 34 of 64
Explanation
Ref.
Ref.
Ref.
Explanation
General Ledger p 35 of 64
g Company
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Debit
Debit
Credit
Credit
General Ledger p 36 of 64
g Company
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Debit
Debit
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General Ledger p 37 of 64
g Company
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Debit
Debit
Debit
Credit
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Credit
General Ledger p 38 of 64
g Company
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Debit
Debit
Debit
Credit
Credit
Credit
General Ledger p 39 of 64
g Company
er
Debit
Debit
Debit
Credit
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Credit
g Company
General Ledger p 40 of 64
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Debit
Debit
Debit
Credit
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g Company
General Ledger p 41 of 64
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Debit
Debit
Debit
Credit
Acct. No:400
Balance
Credit
Credit
g Company
General Ledger p 42 of 64
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Debit
Debit
Debit
Credit
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g Company
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General Ledger p 43 of 64
Debit
Debit
Debit
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General Ledger p 44 of 64
Debit
Debit
Debit
Credit
Credit
Credit
g Company
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General Ledger p 45 of 64
Debit
Debit
Debit
Credit
Credit
Credit
General Ledger p 46 of 64
Account Titles
Debits
Credits
Trial Balances p 47 of 64
Acct. No.
Account Titles
Debits
Credits
Trial Balances p 48 of 64
Account Titles
Debits
Credits
Trial Balances p 49 of 64
Trial Balances p 50 of 64
Trial Balances p 51 of 64
Trial Balances p 52 of 64
Acc. #
Account Titles
Trial Balance
Debits
Credits
Worksheet
End of Month One
Adjustments
Debits
Credits
Debits
Credits
Income Statement
Debits
Credits
Worksheet p 53 of 64
Worksheet p 54 of 64
Balance Sheet
Debits
Credits
Worksheet p 55 of 64
Worksheet p 56 of 64
Financial Statements p 57 of 64
Financial Statements p 58 of 64
Financial Statements p 59 of 64
Financial Statements p 60 of 64
Financial Statements p 61 of 64
Financial Statements p 62 of 64
Y]
Financial Statements p 63 of 64
Financial Statements p 64 of 64