Prepare a statement of revenues expenses and changes in net


Assignment

The following Statement of Cash Receipts and Disbursements was prepared by the bookkeeper of the City of Glass City Museum of Science. The museum is a component unit of the City of Glass City and must be included in the city's financial statements. It began operations on January 1, 2012 with no liabilities or commitments and only two assets.

(1) $6,000 in cash and (2) Land that was acquired for $11,000.

Cash Basis

12 months

Cash Receipts:

Admission Fees $295,000

Loan from the Bank $50,000

Total deposits $345,000

Cash Disbursements:

Supplies $62,000

Wages 104,000

Utilities 48,000

Purchase of Equipment 70,000

Purchase of Fixtures 45,000

Interest on the Bank Loan 1,250

Total checks $330,250

Excess of Receipts Over Disbursements $14,750

Additional Information:

• The loan from the bank is dated April 1 and is for a five-year period. Interest (5% annual rate) is paid on Oct. 1 and April 1 of each year, beginning Oct. 1, 2012.

• The equipment was purchased on April 1, 2012 with the proceeds provided by the bank loan and has an estimated useful life of 10 years (please use the straight-line method of depreciation) for computing depreciation on the equipment. The fixtures were purchased on July 1, 2012 and has an estimated useful life of five years (please use the straight-line method of depreciation) for computing depreciation on the fixtures.

• Supplies on-hand amounted to $5,900 at December 31, 2012.

• All other bills and salaries related to 2012 had been paid by the close of business on December 31.

Required:

Prepare a Statement of Revenues, Expenses, and Changes in Net Assets for the year ended December 31, 2012 assuming the city plans to account for its activities on the accrual basis.

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Auditing: Prepare a statement of revenues expenses and changes in net
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