TEST ON CHAPTER 10 (CLOSING ENTRIES AND POST-CLOSING TRIAL BALANCE) WILL BE ON TUESDAY, 10/21.
Problem 10-8 should be finished before you come to class on Monday. We will spend Monday reviewing for the test on Tuesday by doing the Closing Entry Hanger Project and the Concept Review.
After the test on Tuesday we will begin working on Chapter 11 (Cash Control and Banking Activities) by reading the first section on Banking Procedures and doing the vocabulary. Don't forget to label your vocabulary (words and defiintions) and keep them in our notebook in an orderly fashion.
Wednesday:
Ch. 11, Section 1 discussion and problems 11-1 and 11-2 from the Ch. 11 Demo Packet
"Do the Math" and problem 11-1 on p. 283
11-3 and 11-4 on p. 298
Thursday:
Ch. 11, Section 2 discussion on bank reconciliation
Finish 11-4 and do 11-5 in textbook
Read Ch. 11, Section 2 and do vocabulary
Always make sure you do all assignments and keep them in order in your notebook behind the proper divider, so you will be able to easily find your answers for the next audit.
Chapter 5 and 6 Peachtree Accounting on Friday