會計業務處理(PPT 64頁)
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- 業務管理
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- 相關資料:
- 會計業務處理
會計業務處理(PPT 64頁)內容簡介
主要內容
A公司1月份會計業務處理
AccountingCycle(會計循環)
Step5需注意
Journalizing(記錄日記賬)
Jan.1.2012Peterdeposits$40,000inabankaccountinthenameofAcompany.
Jan.1.2012Acompanypaidapremiumof$1,500foraninsurancepolicyforliability,theft,andfire.Thepolicycovershalfayearperiod.
Jan.1.2012Acompanypaid$1,500forthepurchaseoflandasafuturebuildingsite.
Jan.1.2012Acompanyrentthelandtotheretailerforhalfayear,withtherentpayableinadvance.Acompanyreceived$500forhalfayear’srentbeginningJanuary1.
Jan.3.2012Acompanypurchasedsuppliesfor$1,500andagreedtopaythesupplierinthenear.
Jan.5.2012Acompanyreceivedcashof$5,000forprovidingservicestocustomers.
Jan.31.2012Acompanyincurredthefollowingexpenses:wages,$2,200;rent,$800;utilities,$500;andmiscellaneous,$200.
Jan.31.2012Acompanypaidcreditorsonaccount$500.
Jan.31.2012PeterdeterminedthatthecostofsuppliesonhandatJanuary31was$500.
Jan.31.2012Peterwithdrew$10,000fromAcompanyforpersonaluse.
Jan.31.2012PeterprepaidinsuranceaccountrepresentsaJanuary1prepaymentofinsuranceformonths.
Jan.31.2012unadjustedtrialbalanceofPeterindicatesabalanceintheUnearnedrentaccountof$83.3
Jan.31.2012ClosingEntriesforA
Postingjournalentriestoaccounts(登帳)
Howtoprepareanunadjustedtrialbalance(未調整的試算平衡表)
Recordingadjustingentries(會計科目的調整)
Adjustedtrialbalance(調整後的試算平衡表)
FinancialStatements(財務報表)
ClosingEntries(結賬)
Post-closingtrialbalance(結賬後的試算平衡表)
會計業務處理流程圖
..............................
A公司1月份會計業務處理
AccountingCycle(會計循環)
Step5需注意
Journalizing(記錄日記賬)
Jan.1.2012Peterdeposits$40,000inabankaccountinthenameofAcompany.
Jan.1.2012Acompanypaidapremiumof$1,500foraninsurancepolicyforliability,theft,andfire.Thepolicycovershalfayearperiod.
Jan.1.2012Acompanypaid$1,500forthepurchaseoflandasafuturebuildingsite.
Jan.1.2012Acompanyrentthelandtotheretailerforhalfayear,withtherentpayableinadvance.Acompanyreceived$500forhalfayear’srentbeginningJanuary1.
Jan.3.2012Acompanypurchasedsuppliesfor$1,500andagreedtopaythesupplierinthenear.
Jan.5.2012Acompanyreceivedcashof$5,000forprovidingservicestocustomers.
Jan.31.2012Acompanyincurredthefollowingexpenses:wages,$2,200;rent,$800;utilities,$500;andmiscellaneous,$200.
Jan.31.2012Acompanypaidcreditorsonaccount$500.
Jan.31.2012PeterdeterminedthatthecostofsuppliesonhandatJanuary31was$500.
Jan.31.2012Peterwithdrew$10,000fromAcompanyforpersonaluse.
Jan.31.2012PeterprepaidinsuranceaccountrepresentsaJanuary1prepaymentofinsuranceformonths.
Jan.31.2012unadjustedtrialbalanceofPeterindicatesabalanceintheUnearnedrentaccountof$83.3
Jan.31.2012ClosingEntriesforA
Postingjournalentriestoaccounts(登帳)
Howtoprepareanunadjustedtrialbalance(未調整的試算平衡表)
Recordingadjustingentries(會計科目的調整)
Adjustedtrialbalance(調整後的試算平衡表)
FinancialStatements(財務報表)
ClosingEntries(結賬)
Post-closingtrialbalance(結賬後的試算平衡表)
會計業務處理流程圖
..............................
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