Prepare Journal entries for each of the seven transactions posted to the following T-accounts:
Cash: 7,000, 3,600, 2,500, 600, 2,400, 700
Office Supplies: 600, 200
Prepaid Insurance: 3,600
Equipment: 5,600, 9,400
Automobiles: 11,000
Accounts Payable: 2,400, 9,600
Jerry Steiner, Capital: 23,600
Delivery Services Revenue: 2,500
Gas and Oil Expense: 700
View transaction list
Journal entry worksheet
Record capital invested by owner.
Note: Enter debits before credits.
Transaction a
General Journal
Debit
Credit