You will complete the project using the Excel file
Step 1 Download the Data
Step 2 Journalize the transactions
Step 3 Post the transactions to the T-accounts
Step 4 Prepare a Trial Balance
Step 5 Prepare Adjusting Entries
Step 6 Prepare an Adjusted Trial Balance
Step 7 Prepare the Income Statement
Step 8 Prepare a Retained Earnings Statement and Balance Sheet