[home](http://www.chegg.com/) / [homework help](http://www.chegg.com/homework-help) / [questions and answers](http://www.chegg.com/homework-help/questions-and-answers) / [business](http://www.chegg.com/homework-help/questions-and-answers/business) / [acco
homework help /
questions and answers /
business /
accounting / for the past several years, dustin larkin has operated …

Dixi Miller
Date joined: 10/27/2013
Questions asked: 147
Asker response rate: 64%
For the past several years, Dustin Larkin has operated a part
–
time consulting business from his
home. As of June 1, 2013, Dustin decided to move to rented quarters and to operate the business,
which was to be known as Quixote Consulting, on a full
–
time basis. Quixote Consulting entered into
the following transactions during June:
June 1.
The follow
ing assets were received from Dustin Larkin: cash,
$10,000; accounts receivable, $1,500; supplies, $1,250; and office equipment, $7,500.
Ther
e were no liabilities received.
June 1.
Paid three months’ rent on a
lease rental contract, $4,500.
June 2.
Pa
id the premiums on property and casua
lty insurance policies, $1,800.
June 4.
Received cash from clients as an advance payment for services to be provided (Recor
d
it as unearned fees), $3,000.
June 5.
Purchased additional office equipment on account from
Crawford Company, $1,800.
June 6.
Received cash
from clients on account, $800.
June 10.
Paid cash for a newspaper ad
vertisement to run d
uring June, $120.
June 12.
Paid Crawford Company for part of the
debt incurred on June 5, $800.
June 12.
Re
corded services provided on ac
count for the period June 1 to June 12, $2,250.
June 14.
Paid part
–
time receptionist for
2
weeks’ salary, $400. (Note: Ignore an
y payroll tax or
withholdings).
June 17.
Recorded cash from cash clients for fees earned
durin
g the period June 1
–
16, $3,175.
June 18.
Paid cash for supplies, $750.
June 20.
Recorded services provided on account for
the period June 13
–
20, $1,100.
June 24.
Recorded cash from cash clients for fees earned for the period June 17
–
24, $1,850.
June 26.
Received cash f
rom clients on account, $1,600.
June 27.
Paid part
–
time receptionist for two weeks’ salary, $400. (Note: Ignore an
y pay
roll tax or
withholdings).
June 29.
Paid telephone bill for June, $130.
June 30.
Paid electricity bill f
or June, $200.
June 30.
Recorded cash from cash clients for fees earned for
the period June 25
–
30, $2,050.
June 30.
Recorded services provided on account for
the remainder of June, $1,000.
June 30.
Dustin wi
thdrew $4,500 for personal use.
1. Journalize each transaction in the two
–
column journal tab, referring to the following chart of
acc
ounts in selecting the accoun
ts to be debited and credited.
11
–
Cash
31
–
Dustin Larkin, Capital
12
–
Accounts Receivable
32
–
Dustin Larkin, Drawing
14
–
Supplies
41
–
Fees Earned
15
–
Prepaid Rent
51
–
Salary Expense
16
–
Prepaid Insurance
52
–
Rent
Expense
18
–
Office Equipment
53
–
Supplies Expense
19
–
Accumulated Depreciation
54
–
Depreciation Expense
21
–
Accounts Payable
55
–
Insurance Expense
22
–
Salaries Payable
59
–
Miscellaneous Expense
23
–
Unearned Fees
2. Post the journal to a ledger of four
–
column accounts, see the
Excel tab labeled accordingly.
3. Prepare a trial balance as of June 30, 2013
–using the tab in the Excel workbook labeled accordingly.