A В 1 Paulson's Pet Store End-of-Perlod Spreadsheet (Partial) December 31, 20– 2 3 4 ADJUSTED TRIAL BALANCE ACCOUNT TITLE 5 DEBIT CREDIT 6 Cash 23,440.00 7 Accounts Receivable 9,360.00 8 Merchandise Inventory 64,800.00 9 Estimated Returns Inventory 10 Supplies 11 Prepaid Insurance 1,200.00 2,400.00 1,800.00 90,000.00 12 Land 13 Building 14 Accum. Depr.–Building 15 Store Equipment 350,000.00 20,000.00 120,000.00 3,600.00 9,560.00 16 Accum. Depr.–Store Equipment 17 Accounts Payable 18 Customer Refunds Payable 19 Wages Payable 20 Sales Tax Payable 1,600.00 1,200.00 3,440.00 21 Note Payable 22 B. Paulson, Capital 23 B. Paulson, Drawing 24 Income Summary 16,000.00 534,320.00 4,800.00 59,200.00 64,800.00 1,200.00 25 800.00 25 800.00 1,200.00 26 Sales 326,040.00 27 Sales Returns and Allowances 5,360.00 162,640.00 28 Purchases 29 Purchases Retums and Allowances 4,080.00 30 Purchases Discounts 3,200.00 31 Freight-In 32 Wages Expense 33 Advertising Expense 34 Supplies Expense 35 Phone Expense 36 Utilities Expense 37 Insurance Expense 38 Depr. Expense–Building 39 Depr. Expense-Equipment 40 Miscellaneous Expense 41 Interest Expense 1,600.00 69,400.00 1,200.00 800.00 2,736.00 2,864.00 1,600.00 10,000.00 1,800.00 600.00 640.00 42 989,040.00 989,040.00 321,240.00 78,080.00 43 399,320.00 44 Net Income 45

College Accounting, Chapters 1-27
23rd Edition
ISBN:9781337794756
Author:HEINTZ, James A.
Publisher:HEINTZ, James A.
Chapter10: Accounting For Sales And Cash Receipts
Section: Chapter Questions
Problem 7SEB: JOURNALIZING SALES RETURNS AND ALLOWANCES Enter the following transactions starting on page 60 of a...
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INCOME STATEMENT, STATEMENT OF OWNER’S EQUITY, AND BALANCE SHEET Paulson’s Pet Store completed the Adjusted Trial Balance on page 600 for the year ended December 31, 20--.
Owner’s equity as of January 1, 20--, was $504,320. The current portion of Note Payable is $2,000.
REQUIRED
1. Prepare a multiple-step income statement.
2. Prepare a statement of owner’s equity.
3. Prepare a balance sheet.

 

A
В
1
Paulson's Pet Store
End-of-Perlod Spreadsheet (Partial)
December 31, 20–
2
3
4
ADJUSTED TRIAL BALANCE
ACCOUNT TITLE
5
DEBIT
CREDIT
6 Cash
23,440.00
7 Accounts Receivable
9,360.00
8 Merchandise Inventory
64,800.00
9 Estimated Returns Inventory
10 Supplies
11 Prepaid Insurance
1,200.00
2,400.00
1,800.00
90,000.00
12 Land
13 Building
14 Accum. Depr.–Building
15 Store Equipment
350,000.00
20,000.00
120,000.00
3,600.00
9,560.00
16 Accum. Depr.–Store Equipment
17 Accounts Payable
18 Customer Refunds Payable
19 Wages Payable
20 Sales Tax Payable
1,600.00
1,200.00
3,440.00
21 Note Payable
22 B. Paulson, Capital
23 B. Paulson, Drawing
24 Income Summary
16,000.00
534,320.00
4,800.00
59,200.00
64,800.00
1,200.00
25
800.00
Transcribed Image Text:A В 1 Paulson's Pet Store End-of-Perlod Spreadsheet (Partial) December 31, 20– 2 3 4 ADJUSTED TRIAL BALANCE ACCOUNT TITLE 5 DEBIT CREDIT 6 Cash 23,440.00 7 Accounts Receivable 9,360.00 8 Merchandise Inventory 64,800.00 9 Estimated Returns Inventory 10 Supplies 11 Prepaid Insurance 1,200.00 2,400.00 1,800.00 90,000.00 12 Land 13 Building 14 Accum. Depr.–Building 15 Store Equipment 350,000.00 20,000.00 120,000.00 3,600.00 9,560.00 16 Accum. Depr.–Store Equipment 17 Accounts Payable 18 Customer Refunds Payable 19 Wages Payable 20 Sales Tax Payable 1,600.00 1,200.00 3,440.00 21 Note Payable 22 B. Paulson, Capital 23 B. Paulson, Drawing 24 Income Summary 16,000.00 534,320.00 4,800.00 59,200.00 64,800.00 1,200.00 25 800.00
25
800.00
1,200.00
26 Sales
326,040.00
27 Sales Returns and Allowances
5,360.00
162,640.00
28 Purchases
29 Purchases Retums and Allowances
4,080.00
30 Purchases Discounts
3,200.00
31 Freight-In
32 Wages Expense
33 Advertising Expense
34 Supplies Expense
35 Phone Expense
36 Utilities Expense
37 Insurance Expense
38 Depr. Expense–Building
39 Depr. Expense-Equipment
40 Miscellaneous Expense
41 Interest Expense
1,600.00
69,400.00
1,200.00
800.00
2,736.00
2,864.00
1,600.00
10,000.00
1,800.00
600.00
640.00
42
989,040.00
989,040.00
321,240.00
78,080.00
43
399,320.00
44 Net Income
45
Transcribed Image Text:25 800.00 1,200.00 26 Sales 326,040.00 27 Sales Returns and Allowances 5,360.00 162,640.00 28 Purchases 29 Purchases Retums and Allowances 4,080.00 30 Purchases Discounts 3,200.00 31 Freight-In 32 Wages Expense 33 Advertising Expense 34 Supplies Expense 35 Phone Expense 36 Utilities Expense 37 Insurance Expense 38 Depr. Expense–Building 39 Depr. Expense-Equipment 40 Miscellaneous Expense 41 Interest Expense 1,600.00 69,400.00 1,200.00 800.00 2,736.00 2,864.00 1,600.00 10,000.00 1,800.00 600.00 640.00 42 989,040.00 989,040.00 321,240.00 78,080.00 43 399,320.00 44 Net Income 45
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