Assignment 2 Section 2 Fall 2015 - 2016
Assignment 2 Section 2 Fall 2015 - 2016
College of Business
Accounting
ACCT 102
Fall 2015-2016
Assignment 2
Submitted by
Student Name: Sultan Almansoori
Student ID: S0000001169
Section: 2
General Journal
2 Equipment 93,750
Cash
37,500
Notes Payable 56,250
Cash 3,050
5 Cash 23,650
Cash 5,625
Cash 500
8 Cash 112,500
Cash 2,625
10 Supplies 52,000
General Ledger
Cash
Transaction ITEM POST. DEBIT CREDIT BALANCE
REF. DEBIT CREDIT
1 380,000 380,000
2 37,500 342,500
3 3,050 339,450
5 23,600 363,050
6 5,625 357,425
7 500 356,925
8 112,500 469,425
9 2,625 466,800
Equipment
Khalifa, Capital
Khalifa, Drawing
Supplies
Service Revenue
Rent Expense
Advertising Expense
Utilities Expense
Salaries Expense
Notes Payable
Utilities Payable
Accounts Payable
Trial balance
Microsoft Company
Trial balance
Financial statements
Microsoft Company
Income Statement
Revenue
Expense
506,235
Assets
Cash 466,850
Equipment 93,750
Supplier 52,000
Liabilities
Owner’s Equity