ImageVerifierCode 换一换
格式:DOCX , 页数:19 ,大小:23.38KB ,
资源ID:556618      下载积分:3 金币
快捷下载
登录下载
邮箱/手机:
温馨提示:
快捷下载时,用户名和密码都是您填写的邮箱或者手机号,方便查询和重复下载(系统自动生成)。 如填写123,账号就是123,密码也是123。
特别说明:
请自助下载,系统不会自动发送文件的哦; 如果您已付费,想二次下载,请登录后访问:我的下载记录
支付方式: 支付宝    微信支付   
验证码:   换一换

加入VIP,免费下载
 

温馨提示:由于个人手机设置不同,如果发现不能下载,请复制以下地址【https://www.bdocx.com/down/556618.html】到电脑端继续下载(重复下载不扣费)。

已注册用户请登录:
账号:
密码:
验证码:   换一换
  忘记密码?
三方登录: 微信登录   QQ登录  

下载须知

1: 本站所有资源如无特殊说明,都需要本地电脑安装OFFICE2007和PDF阅读器。
2: 试题试卷类文档,如果标题没有明确说明有答案则都视为没有答案,请知晓。
3: 文件的所有权益归上传用户所有。
4. 未经权益所有人同意不得将文件中的内容挪作商业或盈利用途。
5. 本站仅提供交流平台,并不能对任何下载内容负责。
6. 下载文件中如有侵权或不适当内容,请与我们联系,我们立即纠正。
7. 本站不保证下载资源的准确性、安全性和完整性, 同时也不承担用户因使用这些下载资源对自己和他人造成任何形式的伤害或损失。

版权提示 | 免责声明

本文(会原期中复习题题选.docx)为本站会员(b****0)主动上传,冰豆网仅提供信息存储空间,仅对用户上传内容的表现方式做保护处理,对上载内容本身不做任何修改或编辑。 若此文所含内容侵犯了您的版权或隐私,请立即通知冰豆网(发送邮件至service@bdocx.com或直接QQ联系客服),我们立即给予删除!

会原期中复习题题选.docx

1、会原期中复习题题选会原期中复习题Part I. Multiple Choice1.External users of financial accounting information include all of the following except:A.InvestorsB.Labor unionsC.Line managersD.General public2.A trial balance has total debits of $20,000 and total credits of $24,500. Which one of the following errors would

2、create this imbalance?A.A $2,250 debit to Rent Expense in a journal entry is incorrectly posted to the ledger as a $2,250 credit, leaving the Rent Expense account with a $3,000 debit balance.B.A $4,500 debit to Salaries Expense in a journal entry is incorrectly posted to the ledger as a $4,500 credi

3、t, leaving the Salaries Expense account with a $750 debit balance.C.A $2,250 credit to Consulting Fees Earned in a journal entry is incorrectly posted to the ledger as a $2,250 debit, leaving the Consulting Fees Earned account with a $6,300 credit balance.3.Amalia Company received its utility bill f

4、or the current period of $700 and immediately paid it. Its journal entry to record this transaction includes aa. Credit to Utility Expense for $700. b. Debit to Utility Expense for $700.c. Debit to Accounts Payable for $700.d. Debit to Cash for $700.e. Credit to Capital for $700.4.Overland purchased

5、 $3,000 of merchandise from Overseas. The credit terms were 2/10, n/30. The freight terms were FOB shipping point. Freight costs of $60 were included in the invoice. What journal entry should Overland record, assuming Overland uses a perpetual inventory system?A.Merchandise Inventory, debit, $3,000;

6、 delivery expense, debit, $60; Accounts Payable, credit, $3,060B.Merchandise Inventory, debit, $3,000; Accounts Payable, credit, $3,000C.Merchandise Inventory, debit, $2,940; Accounts Payable, credit, $2,940D.Merchandise Inventory, debit, $3,060; and Accounts Payable, credit, $3,060.5.A company s en

7、ding inventory includes the following items:ProductUnits on HandUnit CostMarket value per unitA20$6$3B50$5$8C10$10$15Applied separately to each product, the inventory s lower of cost or market amount is:A. $520 B. $410C. $670D. $600 E. None of the above16If the petty cash fund is not replenished at

8、the end of the accounting period, which will not be true?A.Net income will be overstated or net loss will be understatedB.Liabilities will be overstated on the balance sheetC.The cash for the firm will be overstatedD.The expenses will be understatedE.The income statement and the balance sheet will n

9、ot be correct7.A company needs to replenish its $500 petty cash fund. Its petty cash box has $75 cash and petty cash receipts of $420. The journal entry to replenish the fund includesa. A debit to Cash for $75. b. A credit to Cash for $75.c. A credit to Petty Cash for $420.d. A credit to Cash Over a

10、nd Short for $5. e. A debit to Cash Over and Short for $58.According to the rules of debit and credit for balance sheet accounts:A. Increases in asset, liability and owners equity accounts are recorded by debitsB.Decrease in asset and liability accounts are recorded by credits.C.Increases in asset a

11、nd owners equity accounts are recorded by debits.D. Decrease in liability and owners equity accounts are recorded by debits.9. Which of the following is provided by a trial balance in which total debits equal total credits:A.Proof that no transaction was completely omitted from the ledger during the

12、 posting process.B.Proof that the correct debit or credit balance has been computed for each accountC.Proof that the ledger is in balanceD.Proof that transactions have been correctly analyzed and recorded in the proper account.10. The CPA firm auditing Mason Street Recording Studios found that total

13、 stockholders equity wunderstated and liabilities were overstated. Which of the following errors could have been the cause:A.Failure to record the earned portion of fees received in advance.B.Making the adjustment entry for depreciation expense twice.C.Failure to record interest accrued on a note pa

14、yable.D.Failure to make the adjusting entry to record revenue that had been earned but not yet billed to clients11.Which of the following types of information isn foundt in subsidiary ledger, but in the general ledger?A.Total cost of goods sold for the periodB.The quantity of a particular product so

15、ld during the periodC.The dollar amount owed to a particular creditorD.The dollar amount payable to a vendor12. Fashion House uses a perpetual inventory system. At the beginning of the year, inventory amounted2to $50,000. During the year, the company purchased merchandise for $230,000, and sold merchandise costing $245,000. A physical inventory taken at year-end indicated shrinkage losses of $4,000. Prior torecording these shrinkage losses, the year-end balance in the company s Inventory account was:A. $31,000 B. $35,000 C. $50,000 D. Some other amount13.T-Shir

copyright@ 2008-2022 冰豆网网站版权所有

经营许可证编号:鄂ICP备2022015515号-1