财务会计复习题.docx
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财务会计复习题.docx
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财务会计复习题
财务会计复习题
《财务会计》复习题
Circletheletterofthebestresponse.
1.Whichofthefollowingstatementsisfalse?
A.Accountingistheinformationsystemthatmeasuresbusinessactivities,processesthatinformationintoreports,andcommunicatestheresultstodecisionmakers.
B.Financialstatementsreportfinancialinformationaboutabusinessentitytodecisionmakers.
C.Ownersofacorporationarepersonallyliableforthedebtsofthecorporation.
D.Thepurposeoffinancialaccountingistoprovideinformationtopeopleoutsideoftheentity,suchasinvestorsandcreditors.
2.Wilburownsandoperatesafishingtackleshop.Wilburneedstoborrowmoneytoexpand;therefore,hepreparedfinancialstatementstopresenttohisbanker.Wilburobtainedappraisalsofalltheassetsofthebusinesstoensurethatthebalancesheetwouldreflectthemostcurrentvalueoftheassets.Wilburhasviolatedwhichofthefollowingprinciplesorconcepts?
A.Reliabilityprinciple
B.Costprinciple
C.Going-concernprinciple
D.Stable-monetary-unitconcept
3.Whichofthefollowingistrue?
A.Owners'Equity-Assets=Liabilities
B.Assets-Owners'Equity=Liabilities
C.Assets+Liabilities=Owners'Equity
D.Liabilities=Owners'Equity+Assets
4.G.HarrisonIncexperiencedadecreaseintotalassetsof$2,000duringthecurrentyear.Duringthesameyear,totalliabilitiesdecreased$6,000.Ifdividendsfortheyearwere$10,000andtheownersmadenoadditionalinvestment,howmuchwasnetincome?
A.$14,000
B.$6,000
C.$18,000
D.$2,000
5.Whichofthefollowingstatementsistrue?
A.Theincomestatementreportsallchangesinassets,liabilities,andstockholders'equityofthebusinessduringtheperiod.
B.Revenuesandexpensesarereportedonlyonthebalancesheet.
C.Thestatementofcashflowsreportscashflowsfromthreetypesofbusinessactivities——cashreceipts,cashpayments,andinvesting.
D.Onthestatementofretainedearnings,thenetincomefortheperiodisaddedtothebeginningbalanceofretainedearnings.
6.Whichofthefollowingstatementsisnottrue?
A.Investingactivitiesrelatetotheinvestmentbyownersintothebusiness.
B.Payingdividendsisanexampleofafinancingactivity.
C.Operatingactivitiesarethemostimportanttypeofbusinessactivity.
D.Managersmustmakedecisionsaboutoperating,investing,andfinancingactivities.
7.Onwhichfinancialstatementcantheendingbalanceinretainedearningsbefound?
A.Balancesheet
B.Incomestatement
C.Statementofretainedearnings
D.BothAandC
8.Whichoftheseisanexampleofanassetaccount?
A.ServiceRevenue
B.Dividends
C.Supplies
D.Alloftheaboveareassets
9.DobsonCompanypaid$1,200onaccount.TheeffectofthistransactiononDobson'saccountingequationisto:
A.decreaseliabilitiesandincreasestockholders’equity.
B.decreaseassetsanddecreaseliabilities.
C.havenoeffectontotalassets.
D.decreaseassetsanddecreasestockholders'equity.
10.Whichofthesestatementsisfalse?
A.Decreasesinliabilitiesandincreasesinrevenuesarerecordedwithacredit.
B.Decreasesinassetsandincreasesinstockholders'equityarerecordedwithacredit.
C.Increasesinbothassetsandexpensesarerecordedwithadebit.
D.Increasesinassetsanddecreasesinliabilitiesarerecordedwithadebit.
11.NotePayablehasanormalbeginningbalanceof$40,200.Duringtheperiod,newborrowingstotal$100,000andpaymentsonloanstotal$20,600.DeterminethecorrectendingbalanceinNotePayable.
A.$39,200,debit
B.$119,600,credit
C.$39,200,credit
D.$160,800,credit
12.Whichofthesestatementsiscorrect?
A.Theaccountisabasicsummarydeviceusedinaccounting.
B.Abusinesstransactionisrecordedfirstinthejournalandthenpostedtotheledger.
C.Inthejournalentry,allaccountsthatareincreasedarelistedfirstandthenallaccountsthataredecreasedarelistednext.
D.BothAandBarecorrect.
13.Whichoftheseaccountshasanormaldebitbalance?
A.SalaryExpense
B.AccountsPayable
C.ServiceRevenue
D.BothAandB
14.TheMay31trialbalancereportsacreditbalanceof$5,000forServiceRevenue.Duringthemonth,oneentryfor$10hadbeenpostedinerrorasadebittoServiceRevenue.WhatisthecorrectbalanceofServiceRevenueatMay31?
A.$4,980
B.$4,990
C.$5,020
D.$5,010
15.ThebeginningCashaccountbalanceis$38,700.Duringtheperiod,cashdisbursementstotaled$144,600.IfendingCashis$51,200,thencashreceiptsmusthavebeen:
A.$105,900
B.$234,500
C.$132,100
D.$157,100
16.UsethefollowingselectedinformationforthePerrimanCompanytocalculatethecorrectcreditcolumntotalforatrialbalance:
Accountsreceivable$27,200
Accountspayable15,900
Building359,600
Cash55,600
Commonstock155,000
Dividends4,800
Insuranceexpense1,800
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