2 50 points eBook Karla Tanner opens a web consulting
Last updated: 10/9/2023
2 50 points eBook Karla Tanner opens a web consulting business called Linkworks and completes the following transactions in its first month of operations Prepare journal entries for each transaction and identify the financial statement impact of each entry The financial statements are automatically generated based on the journal entries recorded April 1 Tanner invested 80 000 cash along with office equipment valued at 26 000 in the company in exchange for common stock April 2 The company prepaid 9 000 cash for 12 months rent for office space The company s policy is to record prepaid expenses in balance sheet accounts April 3 The company made credit purchases for 8 000 in office equipment and 3 600 in office supplies Payment is due within 10 days April 6 The company completed services for a client and immediately received 4 000 cash April 9 The company completed a 6 000 project for a client who must pay within 30 days April 13 The company paid 11 600 cash to settle the account payable created April 3 April 19 The company paid 2 400 cash for the premium on a 12 month prepaid insurance policy The company s policy is to record prepaid expenses in balance sheet accounts April 22 The company received 4 400 cash as partial payment for the work completed on April 9 April 25 The company completed work for another client for 2 890 on credit April 28 The company paid 5 500 cash in dividends April 29 The company purchased 600 of additional office supplies on credit April 30 The company paid 435 cash for this month s utility bill Requirement General Journal General Ledger Trial Balance Income Statement St Retained Earnings Balance Sheet FS Impact General Journal Tab For each transaction prepare the required journal entry on the General Journal tab List debits before credits General Ledger Tab One of the advantages of general ledger software is that posting is done automatically To see the detail of all transactions that affect a specific account or the balance in an account at a specific point in time click on the General Ledger tab Check r