Midlands State University Library
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Shapland and Turner cases in financial accounting created by Julia P Shapland, Cynthia W Turner

By: Contributor(s): Material type: TextTextLanguage: English Publication details: Boston Pearson Education 2013Description: 210 pages illustrationsContent type:
  • text
Media type:
  • unmediated
Carrier type:
  • volume
ISBN:
  • 0132752816
Subject(s): LOC classification:
  • HF5636 SHA
Contents:
1. Project DJ - Narrative - Case 1-1 Analyzing Monthly Transactions - Case 1-2 Recording Month-End Adjustments - Case 1-3 Preparing the Financial Statements - Exhibits - 1.1. Chart of Accounts - 1.2. Ted's Notes - 1.3. Summary of January 2009 Events - 1.4. Start-up Loan Amortization Schedule 2. Project Wedding Planner - Narrative - Case 2-1 Analyzing Monthly Transactions - Case 2-2 Recording Month-End Adjustments - Case 2-3 Preparing the Bank Reconciliation - Case 2-4 Preparing the Financial Statements - Exhibits - 2.1. Chart of Accounts - 2.2. Ellen's Notes - 2.3a-c. June Client Billing Statements - 2.4. Summary of July 2009 Events - 2.5 a-c. July Client Billing Statements - 2.6 a. The June Bank Statement - 2.6 b. Details of Items Noted in June Bank Statement - 2.7. Ellen's Summary Schedules - 3. Project Orthodontist - Narrative - Case 3-1 Classifying Financial Statement Elements (and working with the balance sheet equation). Contents note continued: Case 3-2 Analyzing Monthly Transactions - Case 3-3 Recording Year-End Adjustments - Case 3-4 Preparing the Bank Reconciliation - Case 3-5 Preparing the Financial Statements - Case 3-6 Analyzing Cash Flows - Exhibits - 3.1. Account Listing - 3.2. Paddy's December 2010 Notes - 3.3a-b. December Payroll Records - 3.4. December 2010 Daily Collection Summary - 3.5. Summary of January 2011 Events - 3.6. Super Smile 2010 Inventory Purchases - 3.7. Super Smile Whitening Systems Invoice - 3.8. January 2011 Daily Collection Summary - 3.9 a. January 2011 Payroll Records - 3.9 b.2010 Depreciation Schedule - 3.10. Corporate Credit Card Summary - 3.11. The November Bank Reconciliation - 3.12 a. The December Bank Statement - 3.12 b. Details of Items Noted in December Bank Statement - 4. Project Movie Theater - Narrative - Case 4-1 Classifying Financial Statement Elements (and working with the balance sheet equation) - Case 4-2 Analyzing Monthly Transactions. Contents note continued: Case 4-3 Recording Year-End Adjustments - Case 4-4 Preparing the Bank Reconciliation - Case 4-5 Preparing the Financial Statements - Case 4-6 Analyzing Cash Flows - Exhibits - 4.1. Account Listing - 4.2. Equipment Listing and Depreciation Schedule - 4.3. Physical Count of Concession Stand as of 11/30 - 4.4. Movie Listing and Split Summary: 1/1-11/30 - 4.5. Summary of December 2010 Transactions & Events - 4.6 a-b. Northwest Concession Supply Invoices (12/6 & 12/17) - 4.7 a-b. December Payroll Reports - 4.8 a-b. Box Office Summary Sheets - 4.9. Summary of January 2011 Events - 4.10. Northwest Concession Supply Invoice (12/31) - 4.11. January 2011 Payroll Report - 4.12. Kardwell Custom Design Invoice - 4.13. Start-up Loan Amortization Schedule - 4.14. Box Office Summary Sheet - 4.15. December Corporate Credit Card Statement - 4.16. The November Bank Reconciliation - 4.17 a. The December Bank Statement.
Summary: A rich, relatable, and reader-friendly set of cases, grounded in accounting fundamentals. Organized into four small business projects, the cases found in this text feature business settings familiar to most readers—all of which will guide readers through the entire accounting processing cycle.
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Holdings
Item type Current library Call number Copy number Status Date due Barcode
Book Book Doctor of Business Leadership Library Open Shelf HF5636 SHA (Browse shelf(Opens below)) 146866 Available BK132680
Book Book Doctor of Business Leadership Library Open Shelf HF5636 SHA (Browse shelf(Opens below)) 146864 Available BK132479
Book Book PostGraduate Studies Library Open Shelf HF5636 SHA (Browse shelf(Opens below)) 146865 Available BK132677
Book Book PostGraduate Studies Library Open Shelf HF5636 SHA (Browse shelf(Opens below)) 146867 Available BK132659

1. Project DJ - Narrative - Case 1-1 Analyzing Monthly Transactions - Case 1-2 Recording Month-End Adjustments - Case 1-3 Preparing the Financial Statements - Exhibits - 1.1. Chart of Accounts - 1.2. Ted's Notes - 1.3. Summary of January 2009 Events - 1.4. Start-up Loan Amortization Schedule 2. Project Wedding Planner - Narrative - Case 2-1 Analyzing Monthly Transactions - Case 2-2 Recording Month-End Adjustments - Case 2-3 Preparing the Bank Reconciliation - Case 2-4 Preparing the Financial Statements - Exhibits - 2.1. Chart of Accounts - 2.2. Ellen's Notes - 2.3a-c. June Client Billing Statements - 2.4. Summary of July 2009 Events - 2.5 a-c. July Client Billing Statements - 2.6 a. The June Bank Statement - 2.6 b. Details of Items Noted in June Bank Statement - 2.7. Ellen's Summary Schedules - 3. Project Orthodontist - Narrative - Case 3-1 Classifying Financial Statement Elements (and working with the balance sheet equation). Contents note continued: Case 3-2 Analyzing Monthly Transactions - Case 3-3 Recording Year-End Adjustments - Case 3-4 Preparing the Bank Reconciliation - Case 3-5 Preparing the Financial Statements - Case 3-6 Analyzing Cash Flows - Exhibits - 3.1. Account Listing - 3.2. Paddy's December 2010 Notes - 3.3a-b. December Payroll Records - 3.4. December 2010 Daily Collection Summary - 3.5. Summary of January 2011 Events - 3.6. Super Smile 2010 Inventory Purchases - 3.7. Super Smile Whitening Systems Invoice - 3.8. January 2011 Daily Collection Summary - 3.9 a. January 2011 Payroll Records - 3.9 b.2010 Depreciation Schedule - 3.10. Corporate Credit Card Summary - 3.11. The November Bank Reconciliation - 3.12 a. The December Bank Statement - 3.12 b. Details of Items Noted in December Bank Statement - 4. Project Movie Theater - Narrative - Case 4-1 Classifying Financial Statement Elements (and working with the balance sheet equation) - Case 4-2 Analyzing Monthly Transactions. Contents note continued: Case 4-3 Recording Year-End Adjustments - Case 4-4 Preparing the Bank Reconciliation - Case 4-5 Preparing the Financial Statements - Case 4-6 Analyzing Cash Flows - Exhibits - 4.1. Account Listing - 4.2. Equipment Listing and Depreciation Schedule - 4.3. Physical Count of Concession Stand as of 11/30 - 4.4. Movie Listing and Split Summary: 1/1-11/30 - 4.5. Summary of December 2010 Transactions & Events - 4.6 a-b. Northwest Concession Supply Invoices (12/6 & 12/17) - 4.7 a-b. December Payroll Reports - 4.8 a-b. Box Office Summary Sheets - 4.9. Summary of January 2011 Events - 4.10. Northwest Concession Supply Invoice (12/31) - 4.11. January 2011 Payroll Report - 4.12. Kardwell Custom Design Invoice - 4.13. Start-up Loan Amortization Schedule - 4.14. Box Office Summary Sheet - 4.15. December Corporate Credit Card Statement - 4.16. The November Bank Reconciliation - 4.17 a. The December Bank Statement.

A rich, relatable, and reader-friendly set of cases, grounded in accounting fundamentals. Organized into four small business projects, the cases found in this text feature business settings familiar to most readers—all of which will guide readers through the entire accounting processing cycle.

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