Respuesta :
Answer:
Explanation:
1. Revenues were collected in cash amounting to $31,000 for licenses and permits and $12,000 for fines and forfeits.
2. Supplies were ordered by the following functions in early July 2016 at the estimated costs shown:
General    $ 7,400
Government   Â
Public Safety       11,300
Public Works       6,100
Culture and Recreation      4,200
Miscellaneous      900
Total    $ 29,900
During July 2016, supplies were received at the actual costs shown below and were paid in cash. General Government, Culture and Recreation, and Miscellaneous received all supplies ordered. Public Safety and Public Works received part of the supplies ordered earlier in the month at estimated costs of $10,700 and $5,900, respectively.
   Annual Cost   Estimated Cost
General Government  $ 7,300   $ 7,400
Public safety    10,800   10,700
Public works        6,100   5,900
Culture and recreation      4,100   4,200
Miscellaneous   900    900
Total    29,200   29,100
Journal Entry Worksheet
1) Record the Town of Bedford Fall’s General Fund operating budget on July 1, 2016, the beginning of the town’s 2017 fiscal year.
2) Revenues were collected in cash amounting to $31,000 for licenses and permits and $12,000 for fines and forfeits.
3) Record the issuance of the purchase orders and contracts.
4 ) Record the issuance of the purchase orders and contracts.
5) Record the cash paid for expenses.
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             TOWN OF BEDFORD FALLS
                   Revenue Ledger
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Account Description Est Revenues Dr Revenues Cr Balance Dr  Â
   (Cr)   (Dr )  (Cr)
Taxes
Budget  1,900,000         1,900,000
       1,900,000      Â
Licenses and permits
Budget      350,000   350,000
Cas collected       350,000
Fines and forfeits
Budget       250,000   250,000
Cas collected           250,000
Intergovernmental revenues
Budget      200,000   200,000