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 | j10 | 3,300 | 5,400
date | accounts and explanation | posting reference | debit | credit
may 17 | accounts receivable | 120 | 3,300 |
| service revenue | 410 | 3,300 |
| performed services on account.
may 19: paid rent expense for the month, $1,500. post to the four-column accounts in this step. in the next step, complete the posting reference
cash | account # 110
date | posting reference | debit | credit | balance debit | balance credit
may 1 | j10 | 100,000 | | 100,000 |
may 4 | j10 | | 57,000 | 43,000 |
may 6 | j10 | 2,100 | | 45,100 |
may 9 | j10 | | 250 | 44,850 |
may 19 | j10 | | | |
rent expense | account # 510
date | posting reference | debit | credit | balance debit | balance credit
may 19 | | | | |
Calculate Cash Account Balance on May 19
Post to Rent Expense Account on May 19
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Cash (Account # 110)
- May 19 Posting Reference:
J10 - May 19 Debit: [Blank]
- May 19 Credit:
1,500 - May 19 Balance (Debit):
43,350 - May 19 Balance (Credit): [Blank]
Rent Expense (Account # 510)
- May 19 Posting Reference:
J10 - May 19 Debit:
1,500 - May 19 Credit: [Blank]
- May 19 Balance (Debit):
1,500 - May 19 Balance (Credit): [Blank]