Thecompanyhad a netloss of $200.used to recordthe journal andpage numberthe transactionsoriginatedadjustingThecompanyhad a netloss of $200.fiscalyear.IncomeStatementAssets andWithdrawalsis a listing ofall theaccountsused by acompany.ledgerAssets =Liabilities+ Owner'sEquity.debitsidean incomestatement.servicecompanySalariesExpensetrialbalanceaccounttrialbalancejournalCashrevenue,expenses,incomesummary,withdrawals.adjustingentriesLiabilitiesIncomestatementprepare the trialbalance, completeadjustments, preparethe adjusted trialbalance, extend therespective totals to theIncome Statement andBalance Sheet columnstheamountexpiredThecompanyhad a netloss of $200.used to recordthe journal andpage numberthe transactionsoriginatedadjustingThecompanyhad a netloss of $200.fiscalyear.IncomeStatementAssets andWithdrawalsis a listing ofall theaccountsused by acompany.ledgerAssets =Liabilities+ Owner'sEquity.debitsidean incomestatement.servicecompanySalariesExpensetrialbalanceaccounttrialbalancejournalCashrevenue,expenses,incomesummary,withdrawals.adjustingentriesLiabilitiesIncomestatementprepare the trialbalance, completeadjustments, preparethe adjusted trialbalance, extend therespective totals to theIncome Statement andBalance Sheet columnstheamountexpired

Accounting I Part 1 - Call List

(Print) Use this randomly generated list as your call list when playing the game. There is no need to say the BINGO column name. Place some kind of mark (like an X, a checkmark, a dot, tally mark, etc) on each cell as you announce it, to keep track. You can also cut out each item, place them in a bag and pull words from the bag.


1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
  1. The company had a net loss of $200.
  2. used to record the journal and page number the transactions originated
  3. adjusting
  4. The company had a net loss of $200.
  5. fiscal year.
  6. Income Statement
  7. Assets and Withdrawals
  8. is a listing of all the accounts used by a company.
  9. ledger
  10. Assets = Liabilities + Owner's Equity.
  11. debit side
  12. an income statement.
  13. service company
  14. Salaries Expense
  15. trial balance
  16. account
  17. trial balance
  18. journal
  19. Cash
  20. revenue, expenses, income summary, withdrawals.
  21. adjusting entries
  22. Liabilities
  23. Income statement
  24. prepare the trial balance, complete adjustments, prepare the adjusted trial balance, extend the respective totals to the Income Statement and Balance Sheet columns
  25. the amount expired