Exercises 5-3A & 5-3B Adjustment for Wages
Exercise 5-4A & 5-4B Depreciating Asset
Exercises 5-5A & 5-5B Calculation of Book Value
Exercises 5-6A & 5-6B Adjusting Entries for Supplies
Exercises 5-7A & 5-7B Adjusting Entry for Insurance
Exercise 5-8A Posting Adjusting Entries
Exercise 5-9A Work Sheet and Adjusting Entries
Exercise 5-10A Journalizing Adjusting Entries
E 5-11A Extending Adjusted Balances to the Income Statement and Balance Sheet Columns
Exercise 5-12A Analysis of Net Income or Net Loss on the Work Sheet
Exercise 5-13A Cash, Modified Cash, and Accrual Bases of Accounting
Problem 5-14A Adjustments and Worksheet
Embracing The Future – What Can Accountants Expect
Exercise 6-1A Income Statement
Exercise 6-2A Statement of Owner’s Equity
Exercise 6-5A Closing Entries – Net Income
Exercise 6-6A Closing Entries – Net Loss
Problem 6-7A Financial Statements
Problem 6-9A Statement of Owner’s Equity
Problem 6-7B Financial Statements
Chapter 6 Test Financial Statements and the Closing Process Review
Exercise 7-2A Prepare a Deposit Ticket
Exercise 7-3A Prepare Check and Stub
Exercise 7-4A Bank Reconciliation Procedures
Exercise 7-5A Prepare Journal Entries for Bank Reconciliation
Exercise 7-6A Petty Cash Journal Entries
CALCULATING PETTY CASH SHORT AND PETTY CASH OVER
Exercise 7-7A Cash Short and Over Entries
Problem 7-8A Bank Reconciliation and Related Journal Entries
Exericise 7-8A Part 2 Solution
Problem 7-10A Petty Cash Record and Journal Entries
Problem 7-10A 1 and 3 Solution
Problem 7-10A 2 and 3 Solution
Exercise 8-3A Computing Federal Income Tax
Exercise 8-5A Computing Net Pay
Exercise 8-6A Journalizing Payroll Transactions