After Closing Trial Balance - BC Bookkeeping Tutorials|dwmbeancounter.com

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After Closing Trial Balance

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Shabby Computer Systems   
After Closing Trial Balance Worksheet  
December 31, xxxx  
 
Account Name  / DescriptionAdjusted Trial Balance Closing Entries  After ClosingTrial  Balance

DebitCreditDebitRefCreditRefDebitCredit
Balance Sheet Accounts


Cash
5260





5260
Accounts Receivable
24800
24800
Office Supplies Inventory
300
300
Prepaid Insurance


Inventory for Resale
8000
8000
Truck
12400
12400
Accounts Payable

10001000
Other Accruals

500500
Shabby Computer Systems, Capital

2210024000a42160p40260



Shabby Computer Systems, Drawings
24000
24000a00



Total Balance Sheet Accounts
74760326005076050760



Revenue & Expense Accounts


Consulting Services

5000050000b00
Computer Sales

100000100000c00
Cost of Goods Sold-Computers
72500
72500d00
Purchases


Rent Expense
6000
6000e00
Utilities Expense
4800
4800f00
Office Supplies
1200
1200g00
Insurance Expense
6000
6000h00
Vehicle Operation Expense
3600
3600i00
Maintenance & Repairs
2900
2900j00
Depreciation Expense
3100
3100k00
Bad Debt Expense
1000
1000l00
Bank Charges
240
240m00
Advertising Expense
4250
4250n00
Professional Fees Expense
2250
2250o00



Total Revenue/Expense Accounts
10784015000000



Income Summary




50000b






100000c




72500d






6000e






4800f






1200g






6000h






3600i






2900j






3100k






1000l






240m






4250n






2250o












Balance Of Income Summary Account After Closing Revenue and Expense Accounts And Prior To Transferring Profit/Loss
Total Debits and Credits

107840
150000


Income Summary Balance-Credit Balance of 42160
 









Transfer Income Summary Balance-Profit/Loss


42160p












Total Income Summary


150000
150000




















 Total All Accounts
1826001826003240003240005076050760
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