Classifying Accounts
Identifying accounts on Financial Statments
Balancing Financial Equations
Identifying Types of Businesses
Effect on Accounting Equation
Effect on Accounting Equation
Increase and Decrease of Accounts
Increase and Decrease of Accounts
Income Statement
Statement Of Retained Earnings
Preparing a Balance Sheet
Calculating Equity
Identifying accounts on Financial Statments
Identifying Debits and Credits
Supplies purchase
Payment on Accounts Payable
Perform services for cash
Perform services on account
Payment accounts receivable
Payment for rent
Payment of dividend
Start company with cash
Start company with non-cash assets
Purchase equipment for cash
Purchase equipment on credit
Pay rent in advance
Purchase and use supplies
Rental income
Perform services and collect cash
Unearned revenue - advance payments for work
Complete Financial Statements
Prepaid Insurance and Adjusting Entry for Insurance Expense
Unearned Revenue and Adjusting Entry for Revenue Earned
Adjusting Entry for Supplies
Adjusting Entry for Accounts Receivable
Adjusting Entry for Depreciation
Adjusting Entry for Wages Payable
Adjusting Entry for unearned Ticket Revenue
Purchase Insurance and Adjusting Entry for Insurance Expense
Adjusting Entry for Wages Payable and Effect on Financial Statements
Depreciation Table
Cash vs Accrual Basis
Prepare Closing Entries
Income Statement
Identify Financial Statements for Accounts
Indicate Normal Balance
Solve for Missing Cost of Goods Sold
Solve for Missing Ending Inventory
Solve for Missing Purchases
Solve for Beginning Inventory
Fill in Missing Other Expenses and Net Income in Income Statement
Fill in Missing Sales and Cost of Goods Sold in Income Statement
Journal Entries for Purchases and Effect on Accounting Equation
Journal Entries for Transportation In and Effect on Accounting Equation
Journal Entries for Delivery and Effect on Accounting Equation
Journal Entries for Return and Effect on Accounting Equation
Journal Entries for Payment for Inventory
Journal Entries for Sale of Inventory and Effect on Accounting Equation
Journal Entries for Return of Inventory and Effect on Accounting Equation
Journal Entries for Payment from Customer and Effect on Accounting Equation
Adjusting for Inventory Shrinkage
Closing Entries
Calculate Cost of Goods Sold
Calculate Goods Available for Sale
Journal Entries for Inventory Purchases and Sales
Cost to Include in Inventory
FOB Shipping Point and Destination
Consignment and Damaged Goods
Simple - FIFO Perpetual Inventory
Simple - LIFO Perpetual Inventory
Simple - Weighted Average Perpetual Inventory
FIFO Perpetual Inventory
LIFO Perpetual Inventory
Weighted Average Perpetual Inventory
Specific Identification
Lower of Cost or Market
Effect of an Inventory Error
Bank Reconcilliation
Journal Entries for Bank Reconciliation
Preparing Bank Reconciliation
Journal Entries for Bank Reconciliation
Petty Cash
Cash Over / Short
Cash Equivalents
Internal Controls
Identify Financial Statements for Accounts
Indicate Normal Balance
Journal Entries for Credit Sales and Collections
Credit Card Sales
Journal Entries for Allowance Method for Accounts Receivable
Comparison of Allowance Methods for Bad Debts
Journal Entries for Notes Receivable
End of Year Adjustments for Notes Receivable
Write Off with Direct Write Off Method
Write Off with Allowance Method
Journal Entries with Allowance Method - Percentage of Sales
Journal Entries with Allowance Method - Percentage of Accounts Receivable
Factoring Accounts Receivable
Journal Entries for Lump-Sum Purchases
Journal Entries for Straight Line Depreciation
Journal Entries for Units of Production Depreciation
Journal Entries for Double Declining Balance Depreciation
Change in Depreciation Estimates
Journal Entries for Sale of Depreciable Asset
Journal Entries for Amortization and Depletion
Journal Entries Depletion
Financial Statement Classification of Accounts
Normal Balance of Accounts
Straight Line Depreciation Book Value
Units of Production Depreciation
Double Declining Balance
Journal Entries for Sales Tax
Journal Entries for Unearned Revenue
Journal Entries for Accounts Payable exchanged for Notes Payable
Journal Entries for Notes Payable
Journal Entries for Payroll
Journal Entries for Warranty Liability
Journal Entries for Short Term Notes payable
Classification of Payroll Items
Calculating Withholdings and Net Pay
Calculating Payroll Taxes
Classification on Contingent Liabilities
Journal Entries for Bonds Issued at Par
Journal Entries for Bonds Issued at Discount
Journal Entries for Bonds Issued at Premium
Journal Entries for Issuing Bonds between Interest Dates
Journal Entries for Retiring Bonds Early
Journal Entries for Issuing Long Term Notes
Bond Terminology
Calculating Bond Issue Price
Classification of Accounts
Interest on Bonds Issued at Par Value
Interest on Bonds Issued at a Premium
Interest on Bonds Issued at a Discount
Journal Entries for Notes Payable
Journal Entries for Issuing Par Value Stock
Journal Entries for Issuing Par Value Stock for Assets
Journal Entries for Cash Dividends
Journal Entries for Stock Dividends
Preferred Stock
Journal Entries for Treasury Stock
Ratio - Earnings per Share, PE Ratio, Book Value per Share
Journal Entries for Stock Dividends
Differentiating Stock and Bonds
Calculating Retained Earnings and Total Equity
Stockholders Equity Section of Balance Sheet
Effect of Stock Split
Calculating Dividend Yield and PE Ratio
Statement of Cash Flows
Cash Flows from Operations
Cash Flows from Investing
Cash Flows from Financing
Identifying Cash Equivalents
Classifying Cash Flow Items