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Accounting Tables for Revenue Recognition Cycle

The partially completed tables are in the Excel doc attached.

Complete the cell entries in the first table which list the various activities performed in the Revenue Cycle and the journal entries, documents, data, and control issues associated with them. The second table lists the various activities performed in the Expenditure Cycle and the journal entries, documents, data, and control issues associated with them.

Essentially these two tables form a 'Sales Cycle' and an 'Expense cycle' for a business. Each stage of the cycle is in the column headers - contact customer, etc. From a 'computer' / AIS perspective, do any of those rows have an activity for that column / stage? Example, contacting a customerâ?¦would a journal entry be created? Noâ?¦ but later on when BILL the customer, yes (what is the JE?).

So you will fill out each cell with what happens and about a third the answer is N/A or none, etcâ?¦ the cells already have a few items filled out so you can see what they are supposed to look like.

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Your tutorial is attached in Excel.

It contains a table showing ...

Solution Summary

Your tutorial is attached in Excel. It contains a table showing documents, entries, departments involved, data needed from the AIS system, controls likely needed and information generated for both the revenue cycle and the expense cycle for a classic firm that has inventory.

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