Assets                                             Liabilities
Accounts       Medical                    Furniture &     Accounts
Date             Cash
                             Receivable     Supplies
                                                          Equipment
                                                                        Fixtures        Payable
1/3/2019       100,000.00                                  20,000.00
1/4/2019
1/5/2019        (6,000.00)                    6,000.00
1/10/2019                                                                10,000.00       10,000.00
1/14/2019        6,000.00      10,000.00
1/15/2019      (13,500.00)
1/16/2019
1/17/2019                                                 200,000.00
1/18/2019        5,000.00      (5,000.00)
1/19/2019                                    (1,000.00)
1/20/2019                      15,000.00
1/22/2019       (5,000.00)                                                               (5,000.00)
1/24/2019       12,000.00
1/25/2019      (30,000.00)
1/28/2019       15,000.00      15,000.00
1/29/2019       (2,000.00)
1/29/2019       (8,000.00)
1/29/2019      (13,500.00)
1/30/2019                                    (3,000.00)
Total           60,000.00      35,000.00      2,000.00    220,000.00     10,000.00        5,000.00
Total Assets   327,000.00                                                            Total Liabilities and Equity
      Liabilities              Equity
                              KwakKwak,
            Notes Payable                  Explanation
                               Capital
                              120,000.00 Investment
                                          No entry
                                          Purchase of Medical Supplies
                                          Purchase of F&F on account
                               16,000.00 Professional Fees Revenue
                              (13,500.00) Payment of Salaries
                                          No Entry
               200,000.00                 Purchase of Equipment
                                          Collection of account
                               (1,000.00) Drawings
                               15,000.00 Professional Fees Revenue
                                          Payment of Accounts Payable
                               12,000.00 Professional Fees Revenue
               (30,000.00)                Payment of Notes Payable
                               30,000.00 Professional Fees Revenue
                               (2,000.00) Utilities Expense
                               (8,000.00) Rent Expense
                              (13,500.00) Salaries Expense
                               (3,000.00) Supplies Expense
                 170,000.00   152,000.00
al Liabilities and Equity     327,000.00
                        GENERAL JOURNAL
 DATE              PARTICULARS             F     DEBIT     CREDIT
1/3/2019 Cash                             101    100,000
         Equipment                        201     20,000
            KwakKwak, Capital                              120,000
1/4/2019     No Entry
1/5/2019 Medical Supplies                  103     6,000
            Cash                          101                6,000
1/10/2019 Furniture & Fixtures                    10,000
              Accounts Payable                              10,000
1/14/2019 Cash                                     6,000
          Accounts Receivable                     10,000
             Professional Fees Revenue                      16,000
1/15/2019 Salaries Expense                        13,500
              Cash                                          13,500
1/16/2019    No Entry
1/17/2019 Equipment                              200,000
             Notes Payable                                 200,000
1/18/2019 Cash                                     5,000
             Accounts Receivable                             5,000
1/19/2019 KwakKwak, Drawings                       1,000
             Medical Supplies                                1,000
1/20/2019 Accounts Receivable                     15,000
             Professional Fees Revenue                      15,000
1/22/2019 Accounts Payable                         5,000
             Cash                                            5,000
1/24/2019 Cash                                    12,000
             Professional Fees Revenue                      12,000
1/25/2019 Notes Payable                           30,000
              Cash                                          30,000
1/28/2019 Cash                                    15,000
          Accounts Receivable                     15,000
              Professional Fees Revenue            30,000
1/29/2019 Utilities Expense                2,000
          Rent Expense                     8,000
          Salaries Expense                13,500
                Cash                               23,500
1/30/2019 Supp                             3,000
             Medical Supplies                       3,000
                                 Cash                             Account No.
   Date                 Explanation              Ref   Debit         Credit
 1/3/2019   Investment                           J1     100,000
 1/5/2019       Purchase of Medical Supplies     J1                     6,000
1/14/2019   Professional Fees Revenue            J1       6,000
1/15/2019            Payment of Salaries         J1                    13,500
1/18/2019   Collection of account                J1       5,000
1/22/2019        Professional Fees Revenue       J1                     5,000
1/24/2019   Professional Fees Revenue            J1      12,000
1/25/2019   Payment of Notes Payable             J1                    30,000
1/28/2019   Professional Fees Revenue            J1      15,000
1/29/2019   Payment of Expenses                  J1                    23,500
                           Accounts Receivable                    Account No.
   Date                   Explanation            Ref   Debit         Credit
1/14/2019        Professional Fees Revenue       J1      10,000
1/18/2019            Collection of account       J1                     5,000
1/20/2019   Professional Fees Revenue            J1      15,000
1/28/2019        Professional Fees Revenue       J1      15,000
                            Medical Supplies                      Account No.
   Date                 Explanation              Ref   Debit         Credit
 1/5/2019       Purchase of Medical Supplies     J1       6,000
1/19/2019                Drawings                J1                     1,000
1/30/2019            Supplies Expense            J1                     3,000
                             Equipment                            Account No.
   Date               Explanation                Ref   Debit         Credit
 1/3/2019              Investment                J1      20,000
1/17/2019 Purchase of Equipment                  J1     200,000
                        Furniture & Fixtures                      Account No.
   Date                Explanation               Ref   Debit         Credit
1/10/2019 Purchase of F&F on account             J1      10,000
                          Accounts Payable                        Account No.
   Date                Explanation               Ref   Debit         Credit
1/10/2019      Purchase of F&F on account        J1                    10,000
1/22/2019 Professional Fees Revenue              J1       5,000
                             Notes Payable                        Account No.
   Date           Explanation          Ref   Debit      Credit
1/17/2019    Purchase of Equipment     J1                200,000
1/25/2019   Payment of Notes Payable   J1      30,000
                         KwakKwak, Capital                        Account No.
  Date                 Explanation               Ref   Debit         Credit
1/3/2019               Investment                J1                   120,000
                        KwakKwak, Drawings                        Account No.
   Date                Explanation               Ref   Debit         Credit
1/19/2019 Drawings                               J1       1,000
                    Professional Fees Revenue                     Account No.
   Date               Explanation             Ref      Debit         Credit
1/14/2019     Professional Fees Revenue       J1                       16,000
1/20/2019     Professional Fees Revenue       J1                       15,000
1/24/2019     Professional Fees Revenue       J1                       12,000
1/28/2019     Professional Fees Revenue       J1                       30,000
                         Rent Expense                             Account No.
   Date              Explanation                 Ref   Debit         Credit
1/29/2019 Rent Expense                           J1       8,000
                         Salaries Expense                         Account No.
   Date               Explanation                Ref   Debit         Credit
1/15/2019 Payment of Salaries                    J1      13,500
1/29/2019 Payment of Salaries                    J1      13,500
                             Utilities Expense                    Account No.
   Date                Explanation               Ref   Debit         Credit
1/29/2019            Utilities Expense           J1       2,000
                           Supplies Expense                       Account No.
   Date                Explanation               Ref   Debit         Credit
1/30/2019            Supplies Expense            J1       3,000
        101
Balance
   100,000
    94,000
   100,000
    86,500
    91,500
    86,500
    98,500
    68,500
    83,500
    60,000
       102
Balance
    10,000
     5,000
    20,000
    35,000
       103
Balance
     6,000
     5,000
     2,000
       201
Balance
    20,000
   220,000
        202
Balance
    10,000
        301
Balance
    (10,000)
     (5,000)
       302
Balance
  (200,000)
  (170,000)
       501
Balance
  (120,000) (152,000)
       502
Balance
     1,000
       601
Balance
    (16,000)
    (31,000)
    (43,000)
    (73,000)
       701
Balance
     8,000
       702
Balance
    13,500
     27,000
        703
Balance
     2,000
        704
Balance
     3,000
                    Dr. KwakKwak Medical Clinic
                            Trial Balance
                          January 31, 20X9
                                           DEBIT      CREDIT
101   Cash                                   60,000
102   Accounts Receivable                    35,000
103   Medical Supplies                        2,000
201   Equipment                             220,000
202   Furniture & Fixtures                   10,000
301   Accounts Payable                                   5,000
302   Notes Payable                                    170,000
501   KwakKwak, Capital                                120,000
502   KwakKwak, Drawings                      1,000
601   Professional Fees Revenue                         73,000
701   Rent Expense                            8,000
702   Salaries Expense                       27,000
703   Utilities Expense                       2,000
704   Supplies Expense                        3,000
                                            368,000    368,000
                     Dr. Kwakkwak Medical Clinic
                          Income Statement
               for the month ended January 31, 20X9
      Professional Fees Revenue                         73,000
      Less: OPEX
      Rent Expense                            8,000
      Salaries Expense                       27,000
      Utilities Expense                       2,000
      Supplies Expense                        3,000     40,000
      Net Income                                        33,000
                     Dr. KwakKwak Medical Clinic
                     Statement of Owner's Equity
               for the month ended January 31, 20X9
      KwakKwak, Capital Beg.                           120,000
      Add: Net Income/ Less: Net loss                   33,000
      Add: Additional Investment                       xxx
      Less: Drawings                                     1,000
      KwakKwak, Capital End.                           152,000
              Dr. KwakKwak Medical Clinic
             Statement of Financial Position
                 as of January 31, 20X9
Cash                                            60,000
Accounts Receivable                             35,000
Medical Supplies                                 2,000
Total Current Assets                            97,000
Equipment                                      220,000
Furniture & Fixtures                            10,000
Total Noncurrent Assets                        230,000
TOTAL ASSETS                                   327,000
Accounts Payable                                 5,000
Notes Payable                                  170,000
Total Liabilities                              175,000
KwakKwak, Capital                              152,000
TOTAL LIABILITIES & EQUITY                     327,000