5038 Assignment 2 Work Sheet Task1 Task3
5038 Assignment 2 Work Sheet Task1 Task3
December 31st
Unadjusted Trial Balance Adjustments
Debit Credit Debit
Cash $34,000
Accounts receivable $0
Teaching supplies $10,000
Prepaid insurance $12,000
Prepaid rent $3,000
Professional library $35,000
Accumulated depreciation, professional library $12,000
Equipment $80,000
Accumulated depreciation, equipment $14,900
Accounts payable $26,000
Salaries payable $0
Unearned training fees $12,500
Unearned consulting fees $6,600
ABC, capital $90,000
ABC, withdrawals $50,000
Consulting fees earned $123,900
Training fees earned $40,000
Depreciation expense, Professional library $2,000
Depreciation expense, Equipment $3,000
Salaries expense $50,000
Insurance expense $1,000
Rent expense $33,000
Teaching supplies expense $500
Advertising expense $6,000
Utilities expense $6,400
Total $ 325,900 $ 325,900 $ -
$ -
Adjustments Adjusted Trial Balance
Credit Debit Credit
$ - $ - $ -
Month Jan Feb Mar Apr
Production (Units) 550 700 750 600
Sales (Units) 400 500 600 550
3. Cash budget
Month Jan Feb Mar Apr
Opening balance
Cash inflow
Collection of trade receivables
Cash outflow
Payment of direct material
Payment of labour cost (Production units x
£4 p.u)
Administration expense
Selling expense
Fixed overheads
Acquisition of new machinery
Closing balance