JOURNAL ENTRIES (ADJUSTING ENTRIES BELOW)
ELI CONSULTING SERVICES
January    2 Supplies                       $ 14,000.00
              Cash                                           $ 14,000.00
            Prepaid Insurance               $ 16,800.00
              Cash                                           $ 16,800.00
           7 Cash                           $ 30,000.00
             Accounts Receivable            $ 20,000.00
              Fees Income                                    $ 50,000.00
          12 Cash                           $     8,000.00
              Accounts Receivable                            $   8,000.00
          12 Advertising Expense            $     7,200.00
              Cash                                           $   7,200.00
          13 Cash                           $     9,000.00
              Accounts Receivable                            $   9,000.00
          14 Cash                           $     1,500.00
              Supplies                                       $   1,500.00
          15 Cash                           $ 41,400.00
            Accounts Receivable             $     4,600.00
             Fees Income                                     $ 46,000.00
          20 Supplies                       $ 10,000.00
              Accounts Payable                               $ 10,000.00
            Cash                            $ 25,000.00
            Accounts Receivable             $     7,000.00
             Fees Income                                     $ 32,000.00
            Cash                            $ 11,200.00
              Accounts Receivable                            $ 11,200.00
          21 Maintenance Expenses           $ 14,130.00
              Cash                                           $ 14,130.00
          22 Advertising Expense            $     7,200.00
            Cash                                           $   7,200.00
        23 Telephone Expense                $   2,050.00
              Cash                                         $   2,050.00
        26 Cash                             $   3,200.00
            Accounts Receivable                            $   3,200.00
        27 Accounts Payable                 $   6,000.00
              Cash                                         $   6,000.00
        28 Utilities Expense                $   5,350.00
              Cash                                         $   5,350.00
        29 Cash                             $ 38,000.00
          Accounts Receivable               $   5,500.00
            Fees Income                                    $ 43,500.00
        31 Salaries Expense                 $ 65,600.00
            Cash                                           $ 65,600.00
          Trayton Eli, Drawing              $ 24,000.00
            Cash                                           $ 24,000.00
          Maintenance Expense               $   8,300.00
            Cash                                           $   8,300.00
          Equipment                         $ 30,000.00
            Cash                                           $ 20,000.00
            Accounts Payable                               $ 10,000.00
          Cash                              $ 15,200.00
          Accounts Receivable               $ 3,240.00
            Fees Income                                    $ 18,440.00
                        ADJUSTING ENTRIES
January 31 Supplies Expense                 $ 14,100.00
            Supplies                                       $ 14,100.00
          Insurance Expense                 $   1,400.00
            Prepaid Insurance                              $   1,400.00
Rent Expense                $   4,000.00
 Prepaid Rent                              $   4,000.00
Depreciation Expense        $    183.00
 Accumulated Depreciation                  $    183.00
LEDGER POSTING
                           Cash                                                    Supplies
Date         Debit         Credit        Balance          Date         Debit
  1/1/2021                                   111,350.00     1/2/2021
  1/2/2021                   14,000.00        97,350.00     1/2/2021     14,000.00
  1/2/2021                   16,800.00        80,550.00    1/14/2021
  1/7/2021     30,000.00                     110,550.00    1/20/2021     10,000.00
 1/12/2021      8,000.00                     118,550.00
 1/12/2021                    7,200.00       111,350.00
 1/13/2021      9,000.00                     120,350.00
 1/14/2021      1,500.00                     121,850.00                        Prepaid Insurance
 1/15/2021     41,400.00                     163,250.00   Date         Debit
 1/20/2021     25,000.00                     188,250.00     1/2/2021     16,800.00
 1/20/2021     11,200.00                     199,450.00
 1/21/2021                   14,130.00       185,320.00
 1/22/2021                    7,200.00       178,120.00
 1/23/2021                    2,050.00       176,070.00
 1/26/2021      3,200.00                     179,270.00                          Prepaid Rent
 1/27/2021                    6,000.00       173,270.00   Date         Debit
 1/28/2021                    5,350.00       167,920.00     1/1/2021
 1/29/2021     38,000.00                     205,920.00
 1/31/2021                   65,600.00       140,320.00
 1/31/2021                   24,000.00       116,320.00
 1/31/2021                    8,300.00       108,020.00                           Equipment
 1/31/2021                   20,000.00        88,020.00   Date       Debit
 1/31/2021     15,200.00                    103,220.00      1/1/2021
                                                           1/31/2021     30,000.00
                 Accounts Receivable
Date         Debit         Credit        Balance
  1/1/2021                                     5,000.00                  Accumulated Depreciation
  1/7/2021     20,000.00                      25,000.00   Date         Debit
 1/12/2021                    8,000.00        17,000.00     1/1/2021
 1/13/2021                    9,000.00         8,000.00
 1/15/2021      4,600.00                      12,600.00
 1/20/2021      7,000.00                      19,600.00
 1/20/2021                   11,200.00         8,400.00
 1/26/2021                    3,200.00         5,200.00
 1/29/2021      5,500.00                      10,700.00
 1/31/2021      3,240.00                     13,940.00
                     Accounts Payable                                             Eli, Capital
Date         Debit         Credit        Balance          Date         Debit
  1/1/2021                                     3,500.00     1/1/2021
 1/20/2021                   10,000.00        13,500.00
 1/27/2021      6,000.00                       7,500.00
 1/31/2021                   10,000.00        17,500.00                        Eli, Drawing
                                             17,500.00    Date         Debit
                                                           1/31/2021     24,000.00
                 Advertising Expense
 1/12/2021          7200                           7200
 1/22/2021      7,200.00                      14,400.00
                                             14,400.00
                     Salaries Expense                                          Fees Income
Date       Debit           Credit        Balance          Date       Debit
  1/1/2021                                           -      1/7/2021
 1/31/2021     65,600.00                      65,600.00    1/15/2021
                                             65,600.00     1/20/2021
                                                           1/29/2021
                     Utilties Expense                      1/31/2021
Date       Debit           Credit        Balance
  1/1/2021                                           -
 1/31/2021      5,350.00                       5,350.00
                                               5,350.00
                 Telephone Expense
Date       Debit           Credit        Balance
  1/1/2021                                           -
 1/23/2021      2,050.00                       2,050.00
                                               2,050.00
                Maintenance Expense
Date         Debit         Credit        Balance
  1/1/2021                                           -
 1/21/2021     14,130.00                      14,130.00
 1/31/2021      8,300.00                      22,430.00
                                             22,430.00
        Supplies
         Credit           Balance
                                 1,000.00
                               15,000.00
               1,500.00        13,500.00
                               23,500.00
                               23,500.00
                               23,500.00
   Prepaid Insurance
         Credit           Balance
                               16,800.00
                               16,800.00
                               16,800.00
      Prepaid Rent
         Credit           Balance
                                 4,000.00
                                 4,000.00
                                4,000.00
       Equipment
         Credit           Balance
                                11,000.00
                                41,000.00
                               41,000.00
Accumulated Depreciation
         Credit        Balance
                                    183.00
                                    183.00
                                    183.00
       Eli, Capital
   Credit          Balance
     128,667.00        128,667.00
                      128,667.00
Eli, Drawing
   Credit          Balance
                        24,000.00
                       24,000.00
Fees Income
   Credit       Balance
      50,000.00       50,000.00
       46,000.00        96,000.00
       32,000.00       128,000.00
       43,500.00       171,500.00
       18,440.00      189,940.00
                                                                 ELI CONSULTING SERV
                                                                        Worksheet
                                                            for the month ended Janua
                               Trial Balance                Adjustment
Account                     Debit        Credit          Debit
Cash                       103,220.00
Accounts Receivable         13,940.00
Supplies                    23,500.00
Prepaid Insurance           16,800.00
Prepaid Rent                 4,000.00
Equipment                   41,000.00
Accumulated Depreciation                       183.00
Accounts Payable                         17,500.00
Eli, Capital                            128,667.00
Eli, Drawing                24,000.00
Fees Income                             189,940.00
Salaries Expense            65,600.00
Utilties Expense             5,350.00
Telephone Expense            2,050.00
Advertising Expense         14,400.00
Maintenance Expense         22,430.00
                           336,290.00   336,290.00
Supplies Expense                                        14,100.00
Insurance Expense                                        1,400.00
Rent Expense                                             4,000.00
Depreciation Expense                                      183.00
                                                        19,683.00
Net Income
   ELI CONSULTING SERVICES
          Worksheet
for the month ended January 20x2
Adjustment              Adjusted TB              Income Statement            Balance Sheet
       Credit       Debit        Credit         Debit        Credit       Debit        Credit
                   103,220.00                                            103,220.00
                    13,940.00                                             13,940.00
       14,100.00     9,400.00                                              9,400.00
        1,400.00    15,400.00                                             15,400.00
        4,000.00           -
                    41,000.00                                             41,000.00
         183.00                       366.00                                             366.00
                                 17,500.00                                             17,500.00
                                128,667.00                                            128,667.00
                    24,000.00                                             24,000.00
                                189,940.00                  189,940.00
                    65,600.00                   65,600.00
                     5,350.00                    5,350.00
                     2,050.00                    2,050.00
                    14,400.00                   14,400.00
                    22,430.00                   22,430.00
                    14,100.00                   14,100.00
                     1,400.00                    1,400.00
                     4,000.00                    4,000.00
                      183.00                      183.00
       19,683.00   336,473.00   336,473.00     129,513.00   189,940.00   206,960.00   146,533.00
                                                60,427.00                              60,427.00
                                               189,940.00   189,940.00   206,960.00   206,960.00
             ELI CONSULTING SERVICES
                  Income Statement
           for the month ended January 20x2
Revenue
Fees Income                              189,940.00
Expenses
Salaries Expense             65,600.00
Utilties Expense              5,350.00
Telephone Expense             2,050.00
Advertising Expense          14,400.00
Maintenance Expense          22,430.00
Supplies Expense             14,100.00
Insurance Expense             1,400.00
Rent Expense                  4,000.00
Depreciation Expense           183.00
Total Expenses                           129,513.00
Net Income                                60,427.00
                    ELI CONSULTING SERVICES
                     Changes in Owner's Equity
                 for the month ended January 20x2
Trayton Eli, Capital, January 1, 20x2                128,667.00
Net Income - January                     60,427.00
Less: Withdrawals                        24,000.00
                                                      36,427.00
Trayton Eli, Capital, January 31, 20x2               165,094.00
               ELI CONSULTING SERVICES
                     Balance Sheet
                    As of January 31, 20x2
Assets
Cash                                            103,220.00
Accounts Receivable                              13,940.00
Supplies                                          9,400.00
Prepaid Insurance                                15,400.00
Equipment                           41,000.00
Accumulated Depreciation              366.00     40,634.00
Total Assets                                    182,594.00
Liabilities and Owner's Equity
Accounts Payable                                 17,500.00
Eli, Capital                                    165,094.00
                                                182,594.00