Darlene's Delivery Service
Work Sheet
For the Month Ended July 31, 2016
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TRIAL BALANCE ADJUSTMENTS INCOME STATEME
ACCOUNT TITLE
DEBIT CREDIT DEBIT CREDIT DEBIT
1 Cash 7350.00
2 Accts. Rec. - Romelle Woods 372.00
3 Accts. Rec. - Wyatt Ames 88.00
4 Supplies 963.00 (a) 713.00
5 Prepaid Insurance 1200.00 (b) 300.00
6 Accts. Pay. - Colin Gas 975.00
7 Accts. Pay. - Grand Uniforms 212.00
8 Darlene Wong, Capital 6543.00
9 Darlene Wong, Drawing 2100.00
10 Income Summary
11 Sales 5511.00
12 Advertising Expense 821.00 821.00
13 Insurance Expense (b) 300.00 300.00
14 Miscellaneous Expense 347.00 347.00
15 Supplies Expense (a) 713.00 713.00
16 13241.00 13241.00 1013.00 1013.00 2181.00
17 Net Income 3330.00
18 5511.00
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24
's Delivery Service
Work Sheet
nth Ended July 31, 2016
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INCOME STATEMENT BALANCE SHEET
CREDIT DEBIT CREDIT
7350.00 1
372.00 2
88.00 3
250.00 4
900.00 5
975.00 6
212.00 7
6543.00 8
2100.00 9
10
5511.00 11
12
13
14
15
5511.00 11060.00 7730.00 16
3330.00 17
5511.00 11060.00 11060.00 18
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21
22
23
24
JOURNAL PAGE 4
GENERAL Sales CASH
DOC. POST. Credit
DATE ACCOUNT TITLE NO. REF. DEBIT CREDIT DEBIT CREDIT
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2 2
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General Ledger
ACCOUNT Cash ACCOUNT NO. 110
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 7350
ACCOUNT Accounts Receivable - Romelle Woods ACCOUNT NO. 120
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 372.00
ACCOUNT Accounts Receivable - Wyatt Ames ACCOUNT NO. 130
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 88.00
ACCOUNT Supplies ACCOUNT NO. 140
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 963.00
ACCOUNT Prepaid Insurance ACCOUNT NO. 150
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 1200.00
ACCOUNT Accounts Payable - Colin Gas ACCOUNT NO. 210
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 975.00
ACCOUNT Accounts Payable - Grand Uniforms ACCOUNT NO. 220
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 212.00
ACCOUNT Darlene Wong, Captial ACCOUNT NO. 310
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 6543.00
ACCOUNT Darlene Wong, Drawing ACCOUNT NO. 320
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Jul 31 Balance ü 2100.00
ACCOUNT Income Summary ACCOUNT NO. 330
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Sales ACCOUNT NO. 410
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Advertising Expense ACCOUNT NO. 510
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Insurance Expense ACCOUNT NO. 530
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Miscellaneous Expense ACCOUNT NO. 540
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Supplies Expense ACCOUNT NO. 550
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
Cuts By Kelly
Work Sheet
For the Month Ended February 29, 2016
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TRIAL BALANCE ADJUSTMENTS INCOME STATEMENT BALANCE SHEET
ACCOUNT TITLE
DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT
1 Cash 6116.00 6116.00 1
2 Petty Cash 200.00 200.00 2
3 Accts. Rec. - Jodi Ford 317.00 317.00 3
4 Accts. Rec. - Midville Center 148.00 148.00 4
5 Supplies 602.00 (a) 377.00 225.00 5
6 Prepaid Insurance 650.00 (b) 250.00 400.00 6
7 Accts. Pay. - Beauty Supplies 422.00 422.00 7
8 Accts. Pay. - Midwest Towel 182.00 182.00 8
9 Kelley Cooper, Capital 5900.00 5900.00 9
10 Kelley Cooper, Drawing 1000.00 1000.00 10
11 Income Summary 11
12 Sales 3847.00 3847.00 12
13 Insurance Expense (b) 250.00 250.00 13
14 Miscellaneous Expense 98.00 98.00 14
15 Supplies Expense (a) 377.00 377.00 15
16 Utilities Expense 1220.00 1220.00 16
17 10351.00 10351.00 627.00 627.00 1945.00 3847.00 8406.00 6504.00 17
18 Net Income 1902.00 1902.00 18
19 3847.00 3847.00 8406.00 8406.00 19
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8-1&8-2 OYO Journal & Ledger JOURNAL PAGE 8 NAME_____________
GENERAL Sales CASH
DOC. POST. Credit
DATE ACCOUNT TITLE NO. REF. DEBIT CREDIT DEBIT CREDIT
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8-1&8-2 OYO Journal & Ledger General Ledger NAME_____________
ACCOUNT Cash ACCOUNT NO. 110
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 6116
ACCOUNT Petty Cash ACCOUNT NO. 120
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 200.00
ACCOUNT Accounts Receivable - Jodi Ford ACCOUNT NO. 130
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 317.00
ACCOUNT Accounts Receivable - Midville Center ACCOUNT NO. 140
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 148.00
ACCOUNT Supplies ACCOUNT NO. 150
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 602.00
8-1&8-2 OYO Journal & Ledger NAME_____________
ACCOUNT Prepaid Insurance ACCOUNT NO. 160
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 650.00
ACCOUNT Accounts Payable - Beauty Supply Co. ACCOUNT NO. 210
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 422.00
ACCOUNT Accounts Payable - Midwest Towel ACCOUNT NO. 220
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 182.00
ACCOUNT Kelley Cooper, Captial ACCOUNT NO. 310
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 5900.00
ACCOUNT Kelley Cooper, Drawing ACCOUNT NO. 320
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 1000.00
ACCOUNT Income Summary ACCOUNT NO. 330
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
8-1&8-2 OYO Journal & Ledger NAME_____________
8-1&8-2 OYO Journal & Ledger NAME_____________
ACCOUNT Sales ACCOUNT NO. 410
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 3,847.00
ACCOUNT Insurance Expense ACCOUNT NO. 510
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Miscellaneous Expense ACCOUNT NO. 520
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 98.00
ACCOUNT Supplies Expense ACCOUNT NO. 530
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
ACCOUNT Utilities Expense ACCOUNT NO. 540
POST. BALANCE
DATE ITEM REF. DEBIT CREDIT DEBIT CREDIT
2017
Feb 28 Balance ü 1220.00
Account Title Debit Credit
Account Title Debit Credit