College accounting : (Record no. 24338)

MARC details
000 -LEADER
fixed length control field 13159cam a2200433M 4500
001 - CONTROL NUMBER
control field 787796598
003 - CONTROL NUMBER IDENTIFIER
control field OCoLC
005 - DATE AND TIME OF LATEST TRANSACTION
control field 20171128115621.0
008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION
fixed length control field 120407s2012 xx 000 0 eng
020 ## - INTERNATIONAL STANDARD BOOK NUMBER
International Standard Book Number 0132772175
020 ## - INTERNATIONAL STANDARD BOOK NUMBER
International Standard Book Number 9780132772174
035 ## - SYSTEM CONTROL NUMBER
System control number (OCoLC)787796598
Canceled/invalid control number (OCoLC)698333264
040 ## - CATALOGING SOURCE
Original cataloging agency AU@
Language of cataloging eng
Transcribing agency AU@
Modifying agency BTCTA
-- AZO
-- NTA
-- KIU Kampala Campus
050 ## - LIBRARY OF CONGRESS CALL NUMBER
Classification number HF5635.C65
Item number S53 2013
090 ## - LOCALLY ASSIGNED LC-TYPE CALL NUMBER (OCLC); LOCAL CALL NUMBER (OCLC)
Classification number (OCLC) (R) ; Classification number, CALL (RLIN) (NR) 657.004 S6315C 2012
090 ## - LOCALLY ASSIGNED LC-TYPE CALL NUMBER (OCLC); LOCAL CALL NUMBER (OCLC)
Classification number (OCLC) (R) ; Classification number, CALL (RLIN) (NR) HF5635
Local cutter number (OCLC) ; Book number/undivided call number, CALL (RLIN) .C65 S53 2013
100 1# - MAIN ENTRY--PERSONAL NAME
Personal name Slater Jeffrey.
9 (RLIN) 2953
245 10 - TITLE STATEMENT
Title College accounting :
Remainder of title a practical approach chapters 1-12 with study guide and working papers/
Statement of responsibility, etc Jeffrey Slater .
250 ## - EDITION STATEMENT
Edition statement 12th ed.
260 ## - PUBLICATION, DISTRIBUTION, ETC. (IMPRINT)
Place of publication, distribution, etc Upper saddle river :
Name of publisher, distributor, etc Prentice hall,
Date of publication, distribution, etc c2013.
300 ## - PHYSICAL DESCRIPTION
Extent xvi, 495p. +various pagings:
Dimensions 28cm.
500 ## - GENERAL NOTE
General note ACC090.
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note a
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: A Fresh Start -- 2.Debits and Credits: Analyzing and Recording Business Transactions -- Learning Unit 2-1 The T Account -- Balancing an Account -- Learning Unit 2-2 Recording Business Transactions: Debits and Credits -- T Account Entries for Accounting in the Accounting Equation -- The Transaction Analysis: Five Steps -- Applying the Transaction Analysis to Mia Wong's Law Practice -- Learning Unit 2-3 The Trial Balance and Preparation of Financial Statements -- The Trial Balance -- Preparing Financial Statements -- Chapter Assignments -- Demonstration Problem Debits and Credits: Analyzing and Recording Business Transactions -- Blueprint: Preparing Financial Statements from a Trial Balance --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Demonstration Problem: Journalizing Transaction, Posting, and Preparing a Trial Balance -- Blueprint of First Four Steps of Accounting Cycle -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Peachtree Computer Workshop: Computerized Accounting Application for Chapter 3 -- Quickbooks Computer Workshop: Computerized Accounting Application for Chapter 3 -- 4.The Accounting Cycle Continued -- Learning Unit 4-1 Step 5 of the Accounting Cycle: Preparing a Worksheet -- The Trial Balance Section -- The Adjustments Section -- The Adjusted Trial Balance Section -- The Income Statement Section -- The Balance Sheet Section -- Learning Unit 4-2 Step 6 of the Accounting Cycle: Preparing the Financial Statements from the Worksheet --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Preparing the Income Statement -- Preparing the Statement of Owner's Equity -- Preparing the Balance Sheet -- Chapter Assignments -- Demonstration Problem: Preparing a Worksheet and Financial Statements -- Blueprint of Steps 5 and 6 of the Accounting Cycle -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: Where the Dough Goes ... -- Peachtree Computer Workshop: Computerized Accounting Application for Chapter 4 -- Quickbooks Computer Workshop: Computerized Accounting Application for Chapter 4 -- 5.The Accounting Cycle Completed -- Learning Unit 5-1 Journalizing and Posting Adjusting Entries: Step 7 of the Accounting Cycle -- Recording Journal Entries from the Worksheet --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Learning Unit 5-2 Journalizing and Posting Closing Entries: Step 8 of the Accounting Cycle -- How to Journalize Closing Entries -- Learning Unit 5-3 The Post-Closing Trial Balance: Step 9 of the Accounting Cycle and the Cycle Reviewed -- Chapter Assignments -- Demonstration Problem -- Blueprint of Closing Process from the Worksheet -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: Closing Time -- Peachtree Computer Workshop: Computerized Accounting Application for Chapter 5 -- Quickbooks Computer Workshop: Computerized Accounting Application for Chapter 5 -- 6.Banking Procedure and Control of Cash -- Learning Unit 6-1 Bank Procedures, Checking Accounts, and Bank Reconciliation -- Opening a Checking Account -- Check Endorsement --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: The Checkbook -- Monthly Recordkeeping: The Bank's Statement of Account and In-Company Records -- The Bank Reconciliation Process -- Trends in Banking -- Learning Unit 6-2 The Establishment of Petty Cash and Change Funds -- Setting Up the Petty Cash Fund -- Making Payments from the Petty Cash Fund -- How to Replenish the Petty Cash Fund -- Setting Up a Change Fund and Insight into Cash Short and Over -- Chapter Assignments -- Blueprint: A Bank Reconciliation -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: Counting Down the Cash -- 7.Calculating Pay and Payroll Taxes: The Beginning of the Payroll Process -- Learning Unit 7-1 Calculation of Gross Earnings, Employee Withholding Taxes, and Net Pay -- Gross Earnings --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Federal Income Tax Withholding -- State Income Tax Withholding -- Other Income Tax Withholding -- Employee Withholding for Social Security Taxes -- Other Withholdings -- Net Pay -- Learning Unit 7-2 Preparing a Payroll Register and Employee Earning Record -- The Payroll Register -- The Employee Earnings Record -- Learning Unit 7-3 Employer Payroll Tax Expense -- Employer Payment for Social Security Taxes -- FUTA and SUTA -- Workers' Compensation Insurance -- Chapter Assignments -- Blueprint for Recording Transactions in a Payroll Register -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: Payroll Records: A Full-Time Job? -- 8.Paying, Recording, and Reporting Payroll and Payroll Taxes: The Conclusion of the Payroll Process --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Learning Unit 8-1 Recording Payroll and Payroll Tax Expense and Paying the Payroll -- Recording Payroll -- Recording Payroll Tax Expense -- Paying the Payroll and Recording the Payment -- Learning Unit 8-2 Paying Fit and Fica Taxes and Completing the Employer's Quarterly Federal Tax Return, Form 941 -- Paying FIT and FICA Taxes -- Completing the Employer's Quarterly Federal Tax Return, Form 941 -- Learning Unit 8-3 Preparing Forms W-2 and W-3, Paying FUTA Tax and Completing the Employer's Annual Unemployment Tax Return, Form 940, and Paying SUTA Tax and Workers' Compensation Insurance -- Preparing Form W-2: Wage and Tax Statement -- Preparing Form W-3: Transmittal of Income -- Paying FUTA Tax -- Completing the Employer's Annual Federal Unemployment (FUTA) Tax Return, Form 940 -- Paying SUTA Tax -- Paying Workers' Compensation Insurance -- Chapter Assignments -- Blueprint: Form 941 Tax Deposit Rules -- Accounting Coach -- Chapter Summary --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Subway Case: Hold the Lettuce, Withhold the Taxes -- Peachtree Computer Workshop: Computerized Accounting Application For Chapter 8 -- Quickbooks Computer Workshop: Computerized Accounting Application For Chapter 8 -- 9.Sales and Cash Receipts -- Learning Unit 9-1 Chou's Toy Shop: Seller's View of a Merchandise Company -- Gross Sales -- Sales Returns and Allowances -- Sales Discount -- Sales Tax Payable -- Learning Unit 9-2 Recording and Posting Sales Transactions on Account for Art's Wholesale Clothing Company: Introduction to Subsidiary Ledgers and Credit Memorandum -- Accounts Receivable Subsidiary Ledgers -- The Credit Memorandum -- Journalizing, Recording, and Posting the Credit Memorandum --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Learning Unit 9-3 Recording and Posting Cash Receipt Transactions for Art's Wholesale: Schedule of Accounts Receivable -- Schedule of Accounts Receivable -- Chapter Assignments -- Blueprint: Transferring Information from the General Journal -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- 10.Purchases and Cash Payments -- Learning Unit 10-1 Chou's Toy Shop: Buyer's View of a Merchandise Company -- Purchases -- Purchases Returns and Allowances -- Learning Unit 10-2 Recording and Posting Purchases Transactions on Account for Art's Wholesale Clothing Company: Introduction to Subsidiary Ledgers and Debit Memorandum -- Accounts Payable Subsidiary Ledger -- Debit Memorandum --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Learning Unit 10-3 Recording and Posting Cash Payments Transactions for Art's Wholesale: Schedule of Accounts Payable -- Learning Unit 10-3 Review At This Point -- Instant Replay Self-Review Quiz 10-3 -- Learning Unit 10-4 Introduction to a Merchandise Company Using a Perpetual Inventory System -- Introduction to the Merchandise Cycle -- What Inventory System Walmart Uses -- Recording Merchandise Transactions -- Chapter Assignments -- Blueprint: Periodic Versus Perpetual -- Accounting Coach -- Chapter Summary -- Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Peachtree Computer Workshop: Computerized Accounting Application for Chapter 10 -- Quickbooks Computer Workshop: Computerized Accounting Application for Chapter 10 -- 10A.Appendix: Special Journals With Problem Material --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Classroom Demonstration Problem: Periodic Method -- Journalizing Transactions to Special Journals; Posting to Subsidiary and General Ledger Accounts from Special Journals -- Summary of Solution Tips -- Appendix A Problems -- Sales and Cash Receipts Journal Using a Perpetual Inventory System for Art's Wholesale Clothing -- 11.Preparing a Worksheet for a Merchandise Company -- Learning Unit 11-1 Adjustments for Merchandise Inventory and Unearned Rent -- Adjustments A and B Merchandise Inventory, $19,000 -- Adjustment C Unearned Rent -- Learning Unit 11-2 Completing the Worksheet -- Adjustment C Rental Income Earned by Art's Wholesale, $200 -- Adjustment D Supplies on Hand, $300 -- Adjustment E Insurance Expired, $300 -- Adjustment F Depreciation Expense, $50 -- Adjustment G Salaries Accrued, $600 -- Chapter Assignments -- Blueprint: A Worksheet for a Merchandise Company -- Accounting Coach -- Chapter Summary --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Appendix -- A Worksheet for Art's Wholesale Clothing Co. Using a Perpetual Inventory System -- Problem for Appendix -- 12.Completion of the Accounting Cycle for a Merchandise Company -- Learning Unit 12-1 Preparing Financial Statements -- The Income Statement -- Operating Expenses -- Statement of Owner's Equity -- The Balance Sheet -- Learning Unit 12-2 Journalizing and Posting Adjusting and Closing Entries; Preparing the Post-Closing Trial Balance -- Journalizing and Posting Adjusting Entries -- Journalizing and Posting Closing Entries -- The Post-Closing Trial Balance -- Learning Unit 12-3 Reversing Entries (Optional Section) -- Chapter Assignments -- Blueprint: Financial Statements -- Accounting Coach -- Chapter Summary --
505 0# - FORMATTED CONTENTS NOTE
Formatted contents note Contents note continued: Discussion Questions and Critical Thinking/Ethical Case, Concept Checks, Exercises and Problems -- Financial Report Problem: Reading the Kellogg's Annual Report -- Continuing Problem: On the Job---Sanchez Computer Center -- Mini Practice Set -- The Corner Dress Shop -- Peachtree Computer Workshop: Computerized Accounting Application For Chapter 12 -- Quickbooks Computer Workshop: Computerized Accounting Application For Chapter 12.
650 ## - SUBJECT ADDED ENTRY--TOPICAL TERM
Source of heading or term Accounting.
942 ## - ADDED ENTRY ELEMENTS (KOHA)
Source of classification or shelving scheme Library of Congress Classification
Item type Books
Holdings
Damaged status Not for loan Home library Current library Shelving location Date acquired Inventory number Total Checkouts Full call number Barcode Date last seen Copy number Koha item type Public note
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