Answer:
Simmons Consulting Co
General Journal
Oct 1
Rent Expense $4,800 (debit)
Cash $4,800 (credit)
Paid Rent Expense
Oct 3
Advertising expense $2,500 (debit)
Cash $2,500 (credit)
Paid Advertising Expense
Oct 5
Supplies $1,390 (debit)
Cash $1,390 (credit)
Paid for Supplies
Oct 6
Office equipment $10,670 (debit)
Office Equipment Accounts Payable $10,670 (credit)
Bought Office equipment on credit
Oct 10
Accounts Receivable $19,730 (debit)
Cash $19,730 (credit)
Received payment from accounts
Oct 15
Cash $59,480 (debit)
Accounts Payable $59,480 (credit)
Made payment to Accounts Payable
Oct 27
Miscellaneous Expenses $530 (debit)
Cash $530 (credit)
Paid for Miscellaneous Expenses
Oct 30
Utilities expense $220 (debit)
Cash $220 (credit)
Paid for telephone bill
Oct 31
Cash $538,620 (debit)
Fees Earned $538,620 (credit)
Cash received for Fees Earned
Oct 31
Utilities expense $1,540 (debit)
Cash $1,540 (credit)
Paid for electricity bill
Oct 31
Drawings $56,700 (debit)
Cash $56,700(credit)
Cash drawings by owner
Explanation:
I have prepared the journals and their narrations, see the above.