1 Create a journal entry and a TAccount for each of the foll
1) Create a journal entry and a T-Account for each of the following transactions:
a) $15,000 worth of equipment is purchased on credit.
b) $40,000 of patient bills from last year are collected in cash.
c) $10,000 is received from a managed care company for services to be rendered next year for members
d) $20,000 worth of supplies is purchased and paid for in cash.
e) $5,000 of accounts payable is paid in cash.
f) $30,000 of cash is received from taking out a note with the local bank.
g) $10,000 of accounts receivable from last year is received in cash.
Solution
Journal Entry Date Particulars Dr. Amt. Cr. Amt. a. Equipment 15,000.00 Accounts Payable 15,000.00 (record the purchase of equipment) b. Cash 40,000.00 Accounts Receivable 40,000.00 (record the cash recd of patient bills of last year) c. Cash 10,000.00 Unearned Service Revenue 10,000.00 (record the cash collected for serviced in advance) d. Supplies 20,000.00 Cash 20,000.00 (record the supplies purcahsed) e. Accounts Payable 5,000.00 Cash 5,000.00 (record the cash paid to accounts payable) f. Cash 30,000.00 Notes Payable 30,000.00 (record the amount borrowed from bank) g. Cash 10,000.00 Accounts Receivable 10,000.00 (record the cash recd.) Cash Equipment Accounts Payable b. 40,000.00 20,000.00 d. a. 15,000.00 e. 5,000.00 15,000.00 a. c. 10,000.00 5,000.00 e. f. 30,000.00 g. 10,000.00 Accounts Receivable Unearned Revenue Supplies 40,000.00 b. 10,000.00 c. d. 20,000.00 10,000.00 g. Notes Payable 30,000.00 f.