Preparation of journal and posting the transactions to

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Reference no: EM13356137

Preparation of journal and posting the transactions to ledgers.

The trial balance of Stephanie Stouse, Registered Dietician, at October 31, 2007, follows.

 Acct. # 

Account Title 

Debit 

Credit 

11

Cash 

$3000

 

12

Accounts Receivable 

8000

 

13

Supplies 

600

 

14

Equipment 

15000

 

21

Accounts Payable 

 

$4600

31

Stephanie Stouse, Capital 

 

22000

32

Stephanie Stouse, withdrawals 

 

 

41

Service Revenue 

 

 

51

Salary Expense 

 

 

52

Rent Expense 

 

 

 

Total 

26600

26600

During November, Stouse completed the following transactions.
Nov 4 Collectec $6,000 cash from a client on account
7 Performed a nutritional analysis for a hospital on account, $5,700.
12 Used personal funds to pay for the renovation of private residence, $55,000
16 Purchase supplies on account, $800
19 Withdrew $2,100 for personal use
20 Paid on account $2,600
24 Received $1,900 cash for consulting with Kraft Foods
30 Paid rent $700
30 paid employee salary 2,000

Requirements:
Record the November transactions in a journal
Post the balances and the transactions to the ledger accounts ("T" accounts)
Prepare a trial balance of Stephanie Stouse, Registerd Dietician at November 30, 2007.
Part 2
Explain in an essay format of the above situation

Reference no: EM13356137

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