Save these files as PDFs: Chart of Accounts, Purchase Journal, Cash Disbursements Journal, Vendor Ledgers, and General Ledger Trial Balance. The suggested file name is Exercise 12-2_CofA_PJ_CDJ_VL_GLTB.xlsx.ĩ. Export the following reports to Excel – Chart of Accounts, Purchase Journal, Cash Disbursements Journal, Vendor Ledgers, and General Ledger Trial balance. The suggested file name is Exercise 12-2.Ĩ. Print the General Ledger Trial Balance.ħ. Instead of printing, email PDFs or Microsoft XPS files.Ħ. Check with your instructor for his or her preference.
In other words, you do not need to print hard copy.
GO GREEN & SAVE: Instead of printing, select Display or Print Preview, and save as an Adobe PDF file or Microsoft XPS file. ( Hint: If you are not connected to a printer, you can select Adobe PDF or an Microsoft XPS Document Writer in the Print Properties field.) Journalize and post the following transactions and print each check.ģ. For more information, refer to Troubleshooting, pages 279-280.)Ģ. On the Restore Wizard's Select Company window, select Create a new company using the restored data which restores your backup data and sets up the company. From the startup window, select File Restore. ( Hint: You can restore from your back up file even if no company exists. Exercise 12-1 must be completed before starting Exercise 12-2.ġ. … Get solutions Get solutions Get solutions done loading Looking for the textbook?įollow the instructions below to complete Exercise 12-2. The suggested file name is Exercise 12-2_Chart of Accounts.pdf, etc. The suggested file name is Exercise 12-2_CofA_PJ_CDJ_VL_GLTB.xlsx.9. The suggested file name is Exercise 12-2.8. Print the General Ledger Trial Balance.7. Instead of printing, email PDFs or Microsoft XPS files.4. (Hint: If you are not connected to a printer, you can select Adobe PDF or an Microsoft XPS Document Writer in the Print Properties field.)GO GREEN & SAVE: Instead of printing, select Display or Print Preview, and save as an Adobe PDF file or Microsoft XPS file. Journalize and post the following transactions and print each check.3. For more information, refer to Troubleshooting, pages 279-280.)2.
(Hint: You can restore from your back up file even if no company exists. Exercise 12-1 must be completed before starting Exercise 12-2.1. By Computer Accounting with Sage 50 Complete Accounting 2015 (0th Edition) Edit edition Solutions for Chapter 12 Problem 2E: Follow the instructions below to complete Exercise 12-2.