Taking both the infromation below into account as well as the image I will include help me create my Adjusted Journal Entry What the Adjusted Journal Entry is asking for will be included in the picture Thanks so much!Continue with the following:
Use the journal entry tab to post the following transactions. Check Number Chapter
Purchase units on account at $ per unit and put it into inventory. Terms n
Create an amortization schedule for January loan for and make the first payment
Pay for contract wages accrued in January
Purchase a delivery truck for $ The truck has a life of years and a salvage value of $
Purchase six months of vehicle insurance for $ Insurance begins on and ends on Insurance expense is recorded at month end. Add to schedule of prepaids
Pay for postage $
Sell units for for $ per unit on account with terms n
Pay repairs on delivery truck $
Purchase units at $ per unit on account and put it into inventory. Terms n
Purchase units at $ per unit and put it into inventory.
Customer from calls and says that the units are blemished. You give them a Sales allowance.
Pay for inventory purchased on
Purchase Equipment for $ in exchange for a Note Payable due on the st of each month with Terms: years at
Pay for Equipment to be delivered and installed, $ Check #
Pay for inspection of equipment $ Check #
Sell units of product for for $ per unit for cash
Pay contract wages $ Check #
Sell units at $ per unit on account with terms n
Customer from pays account in full to take advantage of the discout.
Customer from pays in full to take advantage of the discount
Use visa for Truck gas $
Pay for water sewer and garbage $ Check #
Pay Visa bill for January charges Check #