Identify the Transaction Identify the event as a transaction and generate the source document. |
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Analyze the Transaction Determine the transaction amount, which accounts are affected, and in which direction. |
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Journal Entries The transaction is recorded in the journal as a debit and a credit. |
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Post to Ledger The journal entries are transferred to the appropriate T-accounts in the ledger. |
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Trial Balance A trial balance is calculated to verify that the sum of the debits is equal to the sum of the credits. |
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Adjusting Entries Adjusting entries are made for accrued and deferred items. The entries are journalized and posted to the T-accounts in the ledger. |
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Adjusted Trial Balance A new trial balance is calculated after making the adjusting entries. |
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Financial Statements The financial statements are prepared. |
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Closing Entries Transfer the balances of the temporary accounts (e.g. revenues and expenses) to owner's equity. |
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After-Closing Trial Balance A final trial balance is calculated after the closing entries are made. |
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