Trial Balance: JM Accounting Service Trial Balance Dember 31,2011 Account Name
Trial Balance: JM Accounting Service Trial Balance Dember 31,2011 Account Name
JM Accounting Service
Trial Balance
Dember 31,2011
ACCOUNT NAME
Cash
Accounts Receivable
Allowance for Uncollectible Accounts
Prepaid Insurance
Prepaid Rent
Office Supplies
Office Furniture and Equipment
Accumulated Depreciation, Office Furniture and Equipment
Automobile
Accumulated Depreciation, Automobile
Office Salaries Payable
Accounts Payable
Unearned Accounting Fees Revenue
Jon Miller, Capital
Jon Miller, Withdrawal
Accounting Fees Revenue
Interest Revenue
Office Salaries Expense
Advertising Expense
Insurance Expense
Rent Expense
Office Maintenance Expense
Office Supplies Expense
Telephone Expense
Utilities Expense
Depreciation Expense- Office Furniture and Equipment
Depreciation Expense- Automobile
Interest Expense
TOTALS
CE
Debit Credit
11265
11795
765
3100
9000
655
16900
4225
13800
3450
3465
10750
26500
17650
148950
3365
70975
6765
5825
13500
1790
3570
5880
6665
2335
201470 201470
GENERAL
Cash
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Prepaid Rent
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Dec.31 Adjustments GJ 4500
Automobile
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Office Salaries Payable
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Dec.31 Adjustments GJ 3000
Interest Revenue
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Advertising Expense
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Rent Expense
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Dec.31 Adjustments GJ 4500
Utilities Expense
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Dec.31 Adjustments GJ 840
Utilities Payable
Date Explanation Ref. Debit Credit
Dec.31 Unadjusted Balance TB
Dec.31 Adjustments GJ 840
GENERAL LEDGER
Accounts Receivable
Balance Date Explanation Ref. Debit
11265 Dec. 31 Unadjusted Balance TB
Prepaid Insurance
Balance Date Explanation Ref. Debit
765 Dec. 31 Unadjusted Balance TB
Dec. 31 Adjustments GJ
Office Supplies
Balance Date Explanation Ref. Debit
9000 Dec. 31 Unadjusted Balance TB
4500 Dec. 31 Adjustments GJ
Insurance Expense
Balance Date Explanation Ref. Debit
6765 Dec. 31 Unadjusted Balance TB
Dec. 31 Adjustments GJ 1155
Office Maintenance Expense
Balance Date Explanation Ref. Debit
13500 Dec. 31 Unadjusted Balance TB
18000
Telephone Expense
Balance Date Explanation Ref. Debit
3570 Dec. 31 Unadjusted Balance TB
4015
Interest Expense
Balance Date Explanation Ref. Debit
0 Dec. 31 Unadjusted Balance TB
5100
Balance
0
840
Credit Balance
11795
Credit Balance
3100
1155 1945
Credit Balance
655
445 210
ment
Credit Balance
4225
3125 7350
Credit Balance
3450
5100 8550
Credit Balance
3465
Credit Balance
26500
Credit Balance
148950
2000 150950
144450
Credit Balance
70975
73975
Credit Balance
5825
6980
Credit Balance
1790
Credit Balance
5880
Credit Balance
0
3125
Credit Balance
2335
GENERAL JOURNAL
ACCOUNT TITLES PR Debit
a. Insurance Expense 1155
Prepaid Insurance
1155
445
3125
5100
4500
2000
6500
3000
840
ADJUSTED TRIAL BALANCE
JM Accounting Service
Adjusted Trial Balance
December 31,2011
TOTALS 213535
NCE
Credit
765
7350
8550
3000
3465
15250
840
26500
144450
3365
213535
INCOME STATEMENT
JM Accounting Service
Income Statement
For the year ended December 31,2011
Revenues
Service Revenue 144450
Interest Revenue 3365
Total Revenue 147815
Expenses
Office Salaries Expense 73975
Advertising Expense 6765
Insurance Expense 6980
Rent Expense 18000
Office Maintenance Expense 1790
Office Supplies Expense 4015
Telephone Expense 5880
Utilities Expense 7505
Depreciation Expense- OF & E 3125
Depreciation Expense- Automobile 5100
Total Expenses 133135
Gross Profit 14680
Finance Cost 2335
Net Income 12345
STATEMENT OF CHANGES IN OWNERS' EQUITY
JM Accounting Service
Statement of Changes in Owners' Equity
For the year ended December 31,2011
JM Accounting Service
Balance Sheet
December 31,2011
ASSETS
Current Assets
Cash 11265
Accounts Receivable 11795
Allowance for Uncollectible Accounts 765
Prepaid Insurance 1945
Prepaid Rent 4500
Office Supplies 210
Total Current Assets
Noncurrent Assets
Office Furniture and Equipment 16900
Accumulated Depreciation, Office Furniture and Equipment 7350
Automobile 13800
Accumulated Depreciation, Automobile 8550
Total Noncurrent Assets
Total Assets
28950
14800
43750
22555
21195
43750