Answer To: Problems and Exercises Complete the following problems and exercises, showing all work and submit in...
David answered on Dec 25 2021
Problems and Exercises
Solution 1:
1. Revenue
2. None of the Above
3. Contributions-Unrestricted
4. Contributions-Temporarily Restricted
5. None of the above
6. Contributions-Permanently Restricted
7. Contributions-Unrestricted
8. Contributions-Unrestricted
Solution 2:
1. Journal entries
1. Rent Expense………35,000
Contributions- Unrestricted…………..35,000
2. Cash………………………….335,000
Contributions Receivable………100,000
Contributions- unrestricted……………..185,000
Contributions- temporarily restricted…..250,000
3. Salaries & Benefits Expense….224,560
Cash……………………………………..208,560
Salaries and Benefits Payable……………16,000
4. Contributions Receivable………100,000
Contributions- temporarily restricted……94,260
Discount on contributions receivable…….5,740
5. Equipment and furniture……21, 600
Cash ……………………………………..12,000
Contributions- unrestricted………………..9,600
6.
Telephone expense……………………………. 5200
Printing and Postage expense…………………..12, 000
Utilities expense………………………………...8,300
Supplies expense ……………………………….4,300
Cash………………………………………..…..26,000
Accounts Payable…………………………..…..3,600
7. NO TRANSACTION REQUIRED
8. Provision for uncollectable pledges……..10,000
Allowance for uncollectable pledges-Unrestricted ………..10,000
Depreciation Expense ……….3,360
Allowance for depreciation-Equipment and Furniture ………3,360
9.
Public Health education program…..105,952
Community Service Program………….90,816
Management & General………………...60,544
Fund-Raising…………………………….45,408
Salaries & benefits expense …………………224,560
Rent expense…………………………………..35,000
Telephone expense……………………………5,200
Printing and postage expense………………….12,000
Utilities expense………………………………..8,300
Supplies expense……………………………….4,300
Provision for uncollectable accounts…………..10,000
Depreciation expense……………………………3,360
10.
Net Assets Released-Satisfaction of Purpose Restriction-temporarily Restricted………105,952
Net Assets Released- Satisfaction of Purpose Restriction-Unrestricted…………………………105,952
11. Contributions-unrestricted…………..229,600
(*trans: 1,2,5)
Unrestricted net assets……………………73,120
Public health education………………………………105,952
Community service…………………………………..90,816
Management & general………………………………60,544
Fund-raising………………………………………….45,408
Contributions-temporarily Restricted….344,260
(*trans: 2 and 4)
Temporarily restricted Net Assets…………………344,260
Temporarily Restricted Net Assets………105,952
Net assets released- Satisfaction of Purpose
Restriction- temporarily restricted……………………….105,952
2.
INVOLVE
STATEMENT OF ACTIVITIES
FOR THE YEAR ENDED DECEMBER 31, 2017
UNRESTRICTED
TEMPORARILY RESTRICTED
TOTAL
SUPPORT:
CONTRIBUTIONS
229,600
344260
573,860
NET ASSETS RELEASED
FROM RESTRICTION
SATISFACTION OF PURPOSE
105952
-105952
335,552
238308
573,860
EXPENSES
PUBLIC HEALTH EDUCATION
105,952
105,952
COMMUNITY SERVICES
90816
90816
60544
60544
FUNDS RAISING
45408
45408
TOTAL EXPENSES
302,720
302,720
INCREASE IN NET ASSETS
32,832
238308
271,140
BEGINNING NET ASSETS
0
0
0
ENDING NET ASSETS
32,832
238,308
271,140
c.
INVOLVE
STATEMENT OF FINANCIAL POSITION
31-Dec-17
ASSETS
CASH
429,780
CONTRIBUTIONS RECEIVABLE (less discount on contributions receivable of $5,740)
94,260
For accumulated depreciation of $3,360
18240
TOTAL ASSETS
542,280
LIABILITIES:
ACCOUNTS PAYABLE
3600
SALARIES PAYABLE
16000
TOTAL LIABILITIES
19600
NET ASSETS:
UNRESTRICTED
32832
TEMPORARILY RESTRICTED
238,308
TOTAL NET ASSETS
271,140
TOTAL LIABILITIES AND NET ASSETS
542,280
d.
INVOLVE
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED DECEMBER 31, 2017
CASH FLOW FROM OPERATING...