From the following adjusted trial balance,journalize the necessary closing entries.Prepare a post-closing trial balance.
Adjusted Trial Balance Account Title Cash Accounts Receivable Prepaid Insurance Supplies Equipment Accumulated Depreciation-Equipment Accounts Payable Wages Payable Owner, Capital Owner, Drawing Service Revenue Wages Expense Rent Expense Supplies Expense Utilities Expense Depreci ation Expense-Equipment Debit1,5001,4608009005,5001,4003,0001,50090060050018,060 Credit5501,3007606,5508,90018,060
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