QUESTION IMAGE
Question
the following transactions occurred for ward technology solutions:
view the transactions. view the journal entries.
read the requirement. (compute the new balance for each account after posting the transaction.)
may 17: performed services for customers on account, $3,300. post to the four-column accounts in this step. in the next step, complete the
accounts receivable account # 120
balance
date posting reference debit credit debit credit
may 17
service revenue account # 410
balance
date posting reference debit credit debit credit
may 6 j10 2,100 2,100
may 17
Identify the transaction details and journal entry
Post to Accounts Receivable (Account #120)
Post to Service Revenue (Account #410)
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Accounts Receivable (Account #120)
| Date | Posting Reference | Debit | Credit | Balance Debit | Balance Credit |
|---|
Service Revenue (Account #410)
| Date | Posting Reference | Debit | Credit | Balance Debit | Balance Credit |
|---|---|---|---|---|---|
| May 17 | <blank>J10</blank> | <blank></blank> | <blank>3,300</blank> | <blank></blank> | <blank>5,400</blank> |