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QUESTION : ALL OF THESE 20 TRANSACTIONS I POSTED THEM IN JOURNAL AND LEDGER BUT

ID: 2417853 • Letter: Q

Question

QUESTION : ALL OF THESE 20 TRANSACTIONS I POSTED THEM IN JOURNAL AND LEDGER BUT IN TRIAL BALANCE I DONT GET BALANCE TOTAL IN DEBIT AND CREDIT SO PLEASE FIND OUT WHAT IS THE MISTAKE AND WRITE IT .

Fahed inherited a large sum of money and decided to open up his own business. He decided to open up a mechanic shop for fixing high end sports cars, naming his business Fahed Fixes Fast Cars.

The following transactions took place during the month of August, 2015:

August 1:        Fahed invested 500,000 in a new business called Fahed Fixes Fast Cars.

August 2:        Fahed transferred some mechanic tools worth 15,000 from his home to the business.

August 4:        The business purchased repair equipment valued at 70,000 on account from ‘Tools R Us’

August 5:        The business purchased mechanic tools for 25,000 in cash.

August 6:        The business wrote check 101 for 6,000 for rent of the mechanic shop.

August 10:      The business received its first customer and made a minor repair for a customer’s car for 5,000 in cash.

August 11:      The business repaired a car for 14,000 on account for customer Kobe Bryant.

August 12:      The business wrote check 102 in the amount of 10,000 as partial payment for the repair equipment purchased on August 4th from ‘Tools R Us.’

August 14:      The business wrote check 103 in the amount of 4,800 for the insurance bill for the month.

August 15:      The business repaired a customer’s car for 19,200 on account for customer Derek Jeter.

August 20:      The business received a check in the amount of 8,500 as partial payment for the repairs previously made for customer Kobe Bryant on August 11th.

August 21:      The business paid the employee salaries for $12,000 in cash.

August 22:      Fahed withdrew $4,000 in cash for personal use.

August 23:      The business repaired a customer’s car for $7,800 in cash.

August 24:      The business received full payment for the repairs made for Derek Jeter on August 15th.

August 25:      The business received a check for $5,500 for the repairs previously provided on account for customer Kobe Bryant to complete the partial payment on August 20.

August 27:   The business paid in cash for $ 8,000 for repair equipment purchased on account for Tools R Us on August 12.

August 28 :   The business wrote a check 104 for $2,450 to purchase office supplies.

August 29 :    The business paid an electricity bill for $4,700 in cash.

August 31:   The business repaired a car of $ 11,000 on account for the costumer Tom Brady.

NOTE : PLEASE FIND OUT WHAT IS THE MISTAKE OR IF JUST DO IT STARTING FORM THE BIGENING FROM JOURNALIZING AND LEDGER

I GOT IN THE TRIAL BALANCE DEBIT = 613500 CREDIT = 61300

THERE IS 500 DIFFERENCE I CANNOT FIGURE IT OUT PLEASE TELL ME WHERE IS THE MISTAKE.

General Journal Page: 1 Description Credit PostDebit Ref. Date 1-AugCash in Bank 101500,000 Fahed, Capital 301 500,000 2-AugMechanic Tools 105 15,000 Fahed, Capital 301 15,000 4-AugRepair Equipment 106 0.000 A/P - Tools R Us 202 70.000 5-AugMechanic Tools 105 25,000 Cash in Bank 101 25,000 6-Aug Rent Expense 501 6,000 Cash in Bank 101 6,000 10-AugCash in Bank 101 Repair Revenue 101 5,000

Explanation / Answer

Hello,

I have checked all entries have been passed by you is correct. Plz total again for Trial balance.

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