ACCT-504 Week 3 Case Study 1 Flower Landscaping

Published on November 2016 | Categories: Business/Law | Downloads: 75 | Comments: 0 | Views: 391
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ACCT-504 Week 3 Case Study 1 Flower Landscaping Corporation Click Link Below To Buy: http://hwcampus.com/shop/acct-504/acct-504-week-3-case-study-1-flower-landscaping-corporation/ Or Visit www.hwcampus.com Product Description The Entire Case Study is due Sunday at Midnight Mountain time at the end of Week 3. This Case Study is worth 100 points or 10% of your final course grade. This Case Study relates to TCO’s D and E and Chapters 3 and 4. MAKE SURE TO COMPLETE ALL REQUIREMENTS WHICH ARE LISTED BELOW. There are 10 Sheets in the Workbook including this one. All of the Information you need for the Project is located in this Workbook. Requirements Requirement 1 – Prepare the Journal Entries in the General Journal Requirement 2 – Post Journal Entries to the General Ledger Requirement 3 – Prepare a Trial Balance Requirement 4 – Prepare the Adjusting Entries Requirement 5 – Post Adjusting Entries to the General Ledger Requirement 6 – Prepare an Adjusted Trial Balance Requirement 7 – Prepare the Financial Statements Requirement 8 – Prepare the Closing Entries Requirement 9 – Post Closing Entries to the General Ledger Requirement 10 – Prepare the Post Closing Trial Balance Sheet in Workbook Journal Entries General Ledger Trial Balance Adjusting Entries General Ledger Adjusted TB Financial Statements Closing Entries General Ledger Post Closing TB Hint for success: review the Week 2 Lecture prior to starting this project. There are also hints contained within certain cells on some of the worksheet tabs. You can hover over the red pointer at the top right-hand corner of the cell to read the hint. Hints are provided for the following balances: 1) The debits for the journal entries on the Journal Entries tab 2) The credits for the journal entries on the Journal Entries tab 3) The cash balance on the General Ledger tab 4) The debits for the trial balance on the Trial Balance tab 5) The credits for the trial balance on the Trial Balance tab 6) The debits for the adjusted trial balance on the Adjusted Trial Balance tab 7) The credits for the adjusted trial balance on the Adjusted Trial Balance tab

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ACCT-504 Week 3 Case Study 1 Flower Landscaping Corporation Click Link Below To Buy: http://hwcampus.com/shop/acct-504/acct-504-week-3-case-study-1-flower-landscaping-corporation/ Or Visit www.hwcampus.com Product Description The Entire Case Study is due Sunday at Midnight Mountain time at the end of Week 3. This Case Study is worth 100 points or 10% of your final course grade. This Case Study relates to TCO’s D and E and Chapters 3 and 4. MAKE SURE TO COMPLETE ALL REQUIREMENTS WHICH ARE LISTED BELOW. There are 10 Sheets in the Workbook including this one. All of the Information you need for the Project is located in this Workbook. Requirements Requirement 1 – Prepare the Journal Entries in the General Journal Requirement 2 – Post Journal Entries to the General Ledger Requirement 3 – Prepare a Trial Balance Requirement 4 – Prepare the Adjusting Entries Requirement 5 – Post Adjusting Entries to the General Ledger Requirement 6 – Prepare an Adjusted Trial Balance Requirement 7 – Prepare the Financial Statements Requirement 8 – Prepare the Closing Entries Requirement 9 – Post Closing Entries to the General Ledger Requirement 10 – Prepare the Post Closing Trial Balance Sheet in Workbook Journal Entries General Ledger Trial Balance Adjusting Entries General Ledger Adjusted TB Financial Statements Closing Entries General Ledger Post Closing TB Hint for success: review the Week 2 Lecture prior to starting this project. There are also hints contained within certain cells on some of the worksheet tabs. You can hover over the red pointer at the top right-hand corner of the cell to read the hint. Hints are provided for the following balances: 1) The debits for the journal entries on the Journal Entries tab 2) The credits for the journal entries on the Journal Entries tab 3) The cash balance on the General Ledger tab 4) The debits for the trial balance on the Trial Balance tab 5) The credits for the trial balance on the Trial Balance tab 6) The debits for the adjusted trial balance on the Adjusted Trial Balance tab 7) The credits for the adjusted trial balance on the Adjusted Trial Balance tab

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