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College Accounting With Peachtree, Updated - With CD

College Accounting With Peachtree, Updated - With CD - 99 edition

ISBN13: 978-0395943618

Cover of College Accounting With Peachtree, Updated - With CD 99 (ISBN 978-0395943618)
ISBN13: 978-0395943618
ISBN10: 0395943612
Cover type:
Edition/Copyright: 99
Publisher: Houghton Mifflin Harcourt
Published: 1999
International: No

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College Accounting With Peachtree, Updated - With CD - 99 edition

ISBN13: 978-0395943618

Judith M. Peters, Robert M. Peters and Carol Yacht

ISBN13: 978-0395943618
ISBN10: 0395943612
Cover type:
Edition/Copyright: 99
Publisher: Houghton Mifflin Harcourt

Published: 1999
International: No
Summary

Representing the next step in college accounting instruction, College Accounting with Peachtree for Microsoft Windows, Volume I Update, strikes the right balance of innovation and tradition by integrating the teaching of a commercial general ledger software program (Peachtree) throughout the text while providing manual accounting instruction. This text reflects the upgrade to version 5.0 of Peachtree for Microsoft Windows.

  • Peachtree Screen Captures show students what their screen displays should look like and act as a visual guide.
  • The organizing framework of each chapter - the Learning Objectives system - highlights objectives in the margin to indicate where they are discussed in the chapter. This system is also applied to the instructor's resource manual, instructor's solutions manual, end-of-chapter assignments, study guide, and test bank.
  • An Extended Example of a business, introduced in Chapter 2, is carried throughout the entire text. The company - The Kitchen Taylor - starts as a service business, and later evolves into a merchandising business.
  • An extensive section of materials the end of each chapter includes Chapter Summaries, Chapter Glossaries, Self-Tests, Demonstration Problems, A B Problem Sets, Comprehensive Review Problems, Questions for Discussion, Exercises, Mini-Cases, and "A Case of Ethics." Margin icons identify problems requiring a manually-prepared solution.

Table of Contents

Note : Each chapter concludes with a Summary, Demonstration Problem, Glossary, Self-Test, Questions for Discussion, Exercises, Problems - Set A, Problems - Set B, Mini-Cases, "A Case of Ethics," and Answers to Self-Test.



Chapter 1. The Computerized Accounting Environment

Accounting and Accountants
Peachtree Accounting for Windows
Accounting Careers
Accounting Principles
Accrual-Basis versus Cash-Basis Accounting
Ownership Structures
Business Activities
Users of Accounting Information
Software
Looking Ahead

Chapter 2. Analyzing Transactions : The Accounting Equation

The Accounting Equation
Analyzing Transactions
Summary of December Transactions
Financial Statements

Chapter 3. Analyzing Transactions : Debits and Credits

The T-Account
Debits and Credits
Debit and Credit Review
Normal Balances
Chart of Accounts
Data Entry Sheet
Analyzing Transactions Using Debits and Credits
Summary of Transactions

Chapter 4. Journalizing and Posting

The General Journal
Starting Peachtree Accounting for Windows
Printing the Chart of Accounts
Recording Journal Entries Using the "General Journal Entry" Window
Printing the General Journal
Posting to the General Ledger
Printing the General Ledger
Printing the Trial Balance
Backing up Your Chapter 4 Data

Chapter 5. Adjusting Entries

The Purpose of Adjusting Entries
The Adjustment for Supplies
The Adjustment for Insurance
The Adjustment for Wages
The Adjustment for Depreciation
Restoring Data from Chapter 4
Journalizing the Adjusting Entries and Adding New Accounts
Printing the Adjusting Entries
Posting the Adjusting Entries
Printing the General Ledger
Printing the Adjusted Trial Balance
Backing up Your Chapter 5 Data

Appendix 5A - Depreciation
Depreciation Terminology
Depreciation Methods
Depreciation and Federal Income Taxes

Chapter 6. Internal Control : Focus on Cash

Internal Controls
The Petty Cash Fund
Restoring Data from Chapter 5
The Change Fund
Cash Short and Cash Over
Checking Account
Bank Reconciliation
The Reconciliation Process
Using PAW's Account Reconciliation Feature
Printing the Account Reconciliation Report
Printing the Trial Balance
Backing up Your Chapter 6 Data
Innovations in Banking

Chapter 7. Financial Statements and Closing the Fiscal Year

Financial Statements
Restoring Data from Chapter 6
Printing the Financial Statements
Fiscal Year and Interim Periods
Closing the Fiscal Year
Using PAW to Close the Fiscal Year
Printing the Post-Closing Trial Balance
Backing up Your Chapter 7 Data
Comprehensive Review Problem 1

Chapter 8. Merchandising Business : Accounting for Purchases

A Merchandising Business
The Purchasing Process
The Merchandising Inventory Account
Types of Inventory Systems
The Vendor Ledger
Loading the TKT Products Company Data
Special Journals
The Purchase Invoice
Recording Purchases
Recording Purchase Returns and Allowances
Additional TKT Products Transactions
Printing the Purchase Journal
Posting the Purchase Journal
Printing the Vendor Ledger
Backing up Your Data

Chapter 9. Merchandising Business : Cash Payments

Transportation Charges
Cash Discounts
Restoring Data from Chapter 8
The Payments Task
Paying Specific Vendor Invoices
Printing the Check
Paying Specific Invoices Less Returns
Cash Purchases
Additional TKT Products Transactions
Printing the Cash Disbursements Journal
Posting the Cash Disbursements Journal
Printing the Vendor Ledger
Backing up Your Chapter 9 Data

Chapter 10. Merchandising Business : Accounting for Sales

Trade Discounts
The Customer Ledger
Assigning the Cost of Merchandise Inventory (FIFO)
Restoring Data from Chapter 9
Recording Sales
Printing the Sales Invoice
Recording Sales Tax
Recording Sales Returns and Allowances
Additional TKT Products Transactions
Posting the Sales Journal
Printing the Sales Journal
Printing the Customer Ledger
Backing up Your Chapter 10 Data

Chapter 11. Merchandising Business : Cash Receipts

Sales Discounts
Restoring Data from Chapter 10
The Receipts Task
Recording Receipts on Account
Additional TKT Products Transactions
Posting the Cash Receipts Journal
Printing the Cash Receipts Journal
Printing the Customer Ledger
Backing up Your Chapter 11 Data

Chapter 12. Payroll : Employee Earnings and Deductions

Employees versus Independent Contractors
Employee Compensation
Understanding the Payroll Process
Computation of Total Earnings
Deductions
Computation of Net Pay
Restoring Data from Chapter 11
Adding the Payroll Checking Account
Electronic Funds Transfer
Printing the Employee List
Recording the Payroll
Printing the Paycheck
TKT's Other Employees
Posting the Payroll Journal
Additional Practice
Backing up Your Chapter 12 Data

Chapter 13. Payroll : Employer Taxes and Other Responsibilities

Employer's Payroll Taxes
Restoring Data from Chapter 12
Recording the Employer's Payroll Tax Expense
Tax Payments
Wage and Tax Statement (Form W-2)
Transmittal of Wage and Tax Statements (Form W-3)
Backing up Your Chapter 13 Data
Workers' Compensation Insurance

Chapter 14. Merchandising Business : Month End

Restoring Data from Chapter 13
Unearned Revenue
Recording Adjustments for Supplies, Insurance, Wages, and Depreciation
Using PAW to Journalize the Adjusting Entries
Printing the Adjusting Entries
Posting the Adjusting Entries
Replenishing Petty Cash
Preparing Two Bank Reconciliations
Printing the Trial Balance
Backing up Your Chapter 14 Data

Chapter 15. Merchandising Business : Year End

Financial Statements
Income Statement
Balance Sheet
Statement of Cash Flow
Interrelationship of the Financial Statements
Restoring Data from Chapter 14
Printing the Financial Statements
Closing the Fiscal Year
Using PAW to Close the Fiscal Year
Printing the Post-Closing Trial Balance
Backing up Your Chapter 15 Data
The Accounting Cycle
Comprehensive Problem 2

Appendix A : Installing Peachtree Accounting Software
Appendix B : Loading the Kitchen Taylor Data Disk

Index

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