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Kurtz Fencing Inc. uses a job order cost system. The followingdata summarize the operations related to production for March, thefirst month of operations:

a. Materials purchased on account,$28,610.
b. Materials requisitioned andfactory labor used:
Job Materials Factory Labor
301 $2,810 $2,640
302 3,710 3,920
303 2,340 1,910
304 8,210 7,110
305 5,360 5,270
306 3,780 3,390
For general factory use 1,060 4,040
c. Factory overhead costs incurredon account, $5,710.
d. Depreciation of machinery andequipment, $1,910.
e. The factory overhead rate is $55per machine hour. Machine hours used:
Job Machine Hours
301 24
302 36
303 29
304 73
305 41
306 24
Total 227
f. Jobs completed: 301, 302, 303and 305.
g. Jobs were shipped and customerswere billed as follows: Job 301, $8,520; Job 302, $10,770; Job 303,$15,650.
Required:
1. Journalize the entries torecord the summarized operations. Record each item (items a-f) asan individual entry on March 31. Record item g as 2 entries. Referto the Chart of Accounts for exact wording of accounttitles.
2. Post the appropriate entries toT accounts for Work in Process and Finished Goods, using theidentifying letters as transaction codes. Insert memo accountbalances as of the end of the month. For grading purposes entertransactions in alphabetical order. Determine the correct endingbalance. The ending balance label is provided on the left side ofthe T account even when the ending balance is a credit. The unusedcell on the balance line should be left blank.
3. Prepare a schedule ofunfinished jobs to support the balance in the work in processaccount.*
4. Prepare a schedule of completedjobs on hand to support the balance in the finished goodsaccount.*
*Refer to the list of AmountDescriptions for the exact wording of the answer choices for textentries.

Chart of Accounts

CHARTOF ACCOUNTS
KurtzFencing Inc.
General Ledger
ASSETS
110 Cash
121 Accounts Receivable
125 Notes Receivable
126 Interest Receivable
131 Materials
132 Work in Process
133 Factory Overhead
134 Finished Goods
141 Supplies
142 Prepaid Insurance
143 Prepaid Expenses
181 Land
191 Machinery and Equipment
192 Accumulated Depreciation-Machineryand Equipment
LIABILITIES
210 Accounts Payable
221 Utilities Payable
231 Notes Payable
236 Interest Payable
241 Lease Payable
251 Wages Payable
252 Consultant Fees Payable
EQUITY
311 Common Stock
340 Retained Earnings
351 Dividends
390 Income Summary
REVENUE
410 Sales
610 Interest Revenue
EXPENSES
510 Cost of Goods Sold
520 Wages Expense
531 Selling Expenses
532 Insurance Expense
533 Utilities Expense
534 Office Supplies Expense
540 Administrative Expenses
561 Depreciation Expense-Machinery andEquipment
590 Miscellaneous Expense
710 Interest Expense

Amount Descriptions

AmountDescriptions
Balance of Work in Process, January30
Finished Goods, January 30 (Job305)
Job No. 301
Job No. 302
Job No. 303
Job No. 304
Job No. 305
Job No. 306

Journal

Shaded cells have feedback.

1. Journalize the entries to record the summarized operations.Record each item (items a-f) as an individual entry on March 31.Record item g as 2 entries. Refer to the Chart of Accounts forexact wording of account titles.

All transactions on this page must be entered (except for postref(s)) before you will receive Check My Work feedback.

PAGE 10

JOURNAL

Score: 117/225

DATE DESCRIPTION POST. REF. DEBIT CREDIT

1

2

3

4

5

6

7

8

9

10

11

12

13

14

15

16

17

18

Materials are recorded in the Materials Inventory account untilrequisitioned.

All direct costs: materials and labor are recorded in the Workin Process account.

All indirect costs are considered as overhead and are recordedin the Factory Overhead account.

Overhead is applied to Work in Process using a predeterminedoverhead rate.

The cost of completed jobs should be moved to the Finished Goodsaccount.

The cost of sold jobs should be moved to the Cost of Goods Soldaccount.

T Accounts

Shaded cells have feedback.

2. Post the appropriate entries to T accounts for Work inProcess and Finished Goods, using the identifying letters astransaction codes. Insert memo account balances as of the end ofthe month. For grading purposes enter transactions in alphabeticalorder. Determine the correct ending balance. The ending balancelabel is provided on the left side of the T account even when theending balance is a credit. The unused cell on the balance lineshould be left blank.

Work in Process
b f
e
Bal.
Finished Goods
f g
Bal.

Points:

6 / 12

Feedback

Check My Work

Post entries to the Work in Process T account and to theFinished Goods T account.

Schedule of Unfinished Jobs

Shaded cells have feedback.

3. Prepare a schedule of unfinished jobs to support the balancein the work in process account. Refer to the list of AmountDescriptions for the exact wording of the answer choices for textentries.

Question not attempted.

Score: 0/51

Kurtz Fencing Inc.

Schedule of Unfinished Jobs

1

Job

Direct Materials

Direct Labor

Factory Overhead

Total

2

3

4

Points:

0 / 12

Feedback

Check My Work

Include the direct materials, direct labor, and factory overheadfor each unfinished job.

Schedule of Completed Jobs

Shaded cells have feedback.

4. Prepare a schedule of completed jobs on hand to support thebalance in the finished goods account. Refer to the list of AmountDescriptions for the exact wording of the answer choices for textentries.

Kurtz Fencing Inc.

Schedule of Completed Jobs

1

Job

Direct Materials

Direct Labor

Factory Overhead

Total

2

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Collen Von
Collen VonLv2
28 Sep 2019

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