Exam 3: Analyzing Business Transactions Using T Accounts
Exam 1: Accounting: the Language of Business77 Questions
Exam 2: Analyzing Business Transactions90 Questions
Exam 3: Analyzing Business Transactions Using T Accounts105 Questions
Exam 4: The General Journal and the General Ledger85 Questions
Exam 5: Adjustments and the Worksheet85 Questions
Exam 6: Closing Entries and the Postclosing Trial Balance83 Questions
Exam 7: Accounting for Sales and Accounts Receivable83 Questions
Exam 8: Accounting for Purchases and Accounts Payable85 Questions
Exam 9: Cash Receipts, Cash Payments, and Banking Procedures85 Questions
Exam 10: Payroll Computations, Records, and Payment82 Questions
Exam 11: Payroll Taxes, Deposits, and Reports82 Questions
Exam 12: Accruals, Deferrals, and the Worksheet85 Questions
Exam 13: Financial Statements and Closing Procedures84 Questions
Exam 14: Accounting Principles and Reporting Standards85 Questions
Exam 15: Accounts Receivable and Uncollectible Accounts85 Questions
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An accounting system that involves recording the effects of each transaction as debits and credits is
(Multiple Choice)
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Cash
Accounts Receivable
Office Equipment
Office Supplies
Accounts Payable
Brandon Phipps, Capital
Brandon Phipps, Drawing
Fees Income
Rent Expense
Salaries Expense
Utilities Expense
Read each of the following transactions. Determine the accounts to be debited and credited.
-Performed services for cash
(Short Answer)
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Cash
Accounts Receivable
Office Equipment
Office Supplies
Accounts Payable
Brandon Phipps, Capital
Brandon Phipps, Drawing
Fees Income
Rent Expense
Salaries Expense
Utilities Expense
Read each of the following transactions. Determine the accounts to be debited and credited.
-Performed services on credit
(Short Answer)
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A(n) ____________________ account is used to record increases in owner's equity from the sale of goods or services.
(Short Answer)
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If a trial balance is not in balance (the Debit and Credit columns are not equal), a logical first step is to
(Multiple Choice)
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The accounts and balances for Paw Prints Pet Sitters on November 1 are provided below. Cash 19,450 Fees Income -0- Accounts Receivable 890 Rent Expense -0- Office Equipment 2,300 Utilities Expense -0- Supplies 250 Salaries Expense -0- Accounts Payable 1,400 Kelly Connor, Capital 21,490 Kelly Connor, Drawing -0- The following transactions occurred during the month of November.
a. Collected $350 from credit customers
b. Issued a check for $700 for rent
c. Paid $1,900 for salaries
d. The owner withdrew $500 in cash for personal expenses
e. Issued a check for $200 to pay the monthly utility bill
f. Received $2,845 in cash for services performed
g. Purchased office equipment for $1,350 on credit
-Using the information shown, prepare a trial balance for Paw Prints Pet Sitters at November 30, 2013.
(Essay)
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Financial statements are prepared after the trial balance is prepared.
(True/False)
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The normal balance side of a liability account is the debit side.
(True/False)
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When developing a chart of accounts, the highest block of numbers is assigned to asset accounts.
(True/False)
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After transactions for the period have been recorded, a trial balance is prepared to verify the equality of total debits and credits.
(True/False)
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The ending capital balance appears on which of the following statement(s)?
(Multiple Choice)
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A column of figures is added and the total is entered in small pencil figures called a(n) ____________________.
(Short Answer)
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An account whose balance is transferred to another account at the end of an accounting period is a temporary account.
(True/False)
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A business pays a creditor on account. The journal entry to record this transaction is:
(Multiple Choice)
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Which of the following would result in an error when preparing the Trial Balance?
(Multiple Choice)
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