Project 1
1. Project 1
1.4. Page 4
Project 1: The Worksheet
Time to Work
Let your teacher know when you are ready to complete the following assignments.
Create a new folder in your FIN1030 Course Folder called “Project 1 Training Room 1.” All of the answers to the following questions must be saved in this folder for your teacher to mark.
Assignment 1 requires you to complete a general ledger before completing the trial balance section of the worksheet. Assignment 2 provides the balances in the ledger for you to complete the trial balance section of the worksheet.

Refer to the Worksheet Trial Balance Rubric for a checklist to make sure you have included everything you need.
Assignment 1

Step 1: The numbers to complete a worksheet come from the general ledger. Open the Assignment 1 Ledger and save in your new folder as “Project 1: Training Room 1: Assignment 1 Ledger.”
Step 2: Complete this ledger by calculating any new balances and indicating either a DR or CR balance in the indicator column.

Step 3: Open Worksheet Template, and save it in your course folder as “Project 1: Training Room 1: Assignment 1 Worksheet.”
Step 4: Complete the heading of the worksheet for Mojuta Services for the month ended September 30 of the current year.
Step 5: Complete the trial balance section of the worksheet and save.
Assignment 2
The account titles and balances for Uni-Care Repairs are as follows:
Cash: |
19 067.00 |
Hint: Sort these accounts into the appropriate types first; e.g., assets, liabilities, owner’s equity, revenue, and expenses.

Step 1: Open Worksheet Template, and save in your course folder as “Project 1: Training Room 1: Assignment 2 Worksheet.”
Step 2: Complete the heading of the worksheet for Uni-Care Repairs for the year ended December 31 of the current year.
Step 3: Give each account an appropriate account number. Use a four-digit account numbering system. For example, Cash will be 1001.
Step 4: Complete the trial balance section of the worksheet and save.