Accounting Excel sheet assignment

This work sheet assignment need to solve note be on time, excellent grade needed. please read rubric carefully
excel_22rubric__1_.xlsx

excel_cheet_22template__3_.xlsx

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Rubric for Information Technology for Finance
Note: This rubric is not currently being used. Instead, multiple choice items related to the required task are included o
Date:
Rater:
Course:
Student:
1
2
3
4
5
Technology Skill
Data Search: Locate historical
returns and current dividend
Data Process: Download data
into Excel spreadsheet
Data Analysis: Run regression
and calculate beta
Problem Solving: Use data to
determine intrinsic value
4
Inadequate
Obtains incorrect data
8
Satisfactory
Gets data from Internet
with minor errors
Processes the data with
many errors
Analyzes the data with
significant errors
Uses the output from
data analysis incorrectly
Processes the data with
minor errors
Analyzes the data with
minor errors
Uses the output from
data analysis with minor
errors
Makes the right
decisions with
insufficient justifications
Decision Making: Conclude if the Makes the wrong
decision
stock is under or overvalued.
Make stock “buy” or “sell”
recommendation
for Finance
e required task are included on an exam.
10
Excellent
Gets the correct data from
Internet
Score
10
Processes the data
accurately
Analyzes the data correctly
10
10
Uses the output from data
analysis correctly
10
Makes the right decisions
with sufficient justifications
10
Total Score
50
Be advised, the template workbooks and worksheets are not protected.
Overtyping any data may remove it.
Extensive detail and information is contained within the help function of Microsoft Excel and in the provided text.
You should enter your name, date, instructor’s name, and course into the cells at the top of the page. This information will be
printed on the top of each page if the template requires more than one page.
Each template is set to print with File Name, Page # of # Page(s), the print date, and the print time to assist in
assembly of multiple pages.
If more than one page is required by the template, manual page breaks have been set to provide consistent
presentation.
All of the cells have been correctly formatted for presentation and should not require any adjustment. For
example, if the text requires one, two, or three significant digits in a presentation, the template has been set for
that presentation in the appropriate cells.
In general, the highlighted cells are the cells which work and effort should be presented. These entries may include date(s),
account title(s), values, memorandum appropriate to the entry, or text answers to questions.
And information or data which may be required by the solution will be entered in cells with borders to help identify them.
Where a highlighted cell shows “Date” enter the appropriate date for that step of the challenge. This may be any date format
that Microsoft Excel accepts. Some of these formats include “1/1/12”, “01/01/12”, and “01/01/2012.” All of these will return
January 01, 2012, in the format set in the template.
Where a highlighted cell shows “Acct Nbr” enter the appropriate account number, provided in the template and in the text for
that step of the challenge. This is entry may be a “Look to” formula to another cell where that information has been provided or
previously entered.
Where a highlighted cell shows “Account Title” enter the appropriate account title for that step of the challenge. This is a text
entry and most of those cells are set for the proper indentation for that step. Frequently the chart of accounts appropriate to the
challenge is provided and you can use the “look to” formula to reference the appropriate account title without typing it.
Check with your instructor to see if abbreviated account titles are acceptable. For example “A/R” for Accounts Receivable,
“A/P” for Accounts Payable. If your instructor is using a comparison process between workbooks for grading, these
abbreviates may not be acceptable.
Where a highlighted cell shows titles such as “Values,” “Amounts,” or “Quantities” enter the appropriate numerical value for
that step of the challenge. The cell is formatted for proper presentation of the entered information. If a dollar sign is
appropriate, it should not be entered, Microsoft Excel will place it there through formatting. Commas and significant digits
(decimals) are also set through formatting for common presentation. Since the formatting of the templates is not protected by
any password, you may change any of the formatting found in the templates to meet your desires.
Where a highlighted cell shows titles such as “Formula” you may enter the appropriate formula or enter a numerical value
appropriate for that step of the challenge. Most of the values necessary for the appropriate formula are located on the template
in cells with borders or in other yellow highlighted cells. The formula may be a simple “Look to” formula, an equal sign and a
cell reference, “=E27” or more complex as “=E27*5,” or something similar to the time-value-of-money formula. These are
addressed in the tutorial text provided for Microsoft Excel.
Where a highlighted cell shows “Text” enter the appropriate text for that step of the challenge. This may be a memorandum
entry for a journal entry or a lengthy text answer discussing the results of an analysis of a company’s financials. These titles can
simply be typed over.
Where a highlighted cell shows titles such as “Journal Number” or “Journ #” you should enter the appropriate number
provided in the template and in the text for that step of the challenge. In general this will appear in instances such as “Record
the following events in General Journal number six.”
The print area is defined to fit onto 8 1/2″ × 11″ sheets in portrait or landscape mode as required. Margins are generally set to
no less than 1/2″ so most printers can print them without a problem. If you printer cannot accept margins less than 1″ you may
have to reformat the margins through Page Setup.
The display may have “Freeze Pane” invoked so column titles remain visible during data entry. This can be removed by
utilizing the View menu and selecting “Unfreeze Panes” under “Freeze Panes.”
When negative values are required, enter them by starting with a minus sign, “-“. Negative values may be shown as ($400) or $400. Negative values in formulas can be created by putting a minus sign in front of the cell reference – “=E10*-E11” will
return a negative value if both cells E10 and E11 contain positive values.
Name:
Instructor:
Date:
Course:
P20-1 (2-Year Worksheet) On January 1, 2014, Harrington Company has the following defined benefit pension plan balanc
Projected benefits obligation
$4,500,000
Fair value of plan assets
4,200,000
10%
On January 1, 2015, the company amends its p
are created. Other data related to the pension plan are as foll
The interest (settlement) rate applicable to the plan is
agreement so that service costs of
$500,000
2014
$150,000
0
240,000
200,000
252,000
Service costs
Prior service costs amortization
Contributions (funding) to the plan
Benefits paid
Actual return on plan assets
Expected rate of return on assets
6%
2015
$180,000
90,000
285,000
280,000
260,000
8%
Instructions:
(a) Prepare a pension worksheet for the pension plan for 2014 and 2015.
HARRINGTON COMPANY
Pension Worksheet—2014 and 2015
General Journal Entries
Items
Annual
Pension
Expense
Cash
OCI – Prior
Service Cost
OCI Gain/Loss
Balance, Jan. 1, 2014
(a) Service cost
(b) Interest cost
(c) Actual return
(d) Contributions
(e) Benefits
Amount
Amount
Amount
Journal entry, 12/31/14
Accum OCI, 12/31/13
Balance, Dec. 31, 2014
Formula
(f) Additional PSC
January 1, 2015
(g) Service cost
(h) Interest cost
(i) Actual return
(j) Unexpected loss
(k) Amortization of PSC
(l) Contributions
(m) Benefits
Journal entry, 12/31/15
Accum OCI, 12/31/14
Pension
Asset/
Liability
Amount
Amount
Formula
Formula
Formula
Formula
Formula
Amount
Amount
Formula
Amount
Formula
Amount
Amount
Amount
Amount
Formula
Formula
Formula
Formula
Amount
Amount
Formula
Balance, Dec. 31, 2015
Formula
Formula
Formula
Area for calculations as desired
Area for calculations as desired
Area for calculations as desired
(b) For 2015, prepare the journal entry to record pension-related amounts.
Account title
Account title
Account title
Account title
Account title
Amount
Amount
Amount
Amount
Amount
benefit pension plan balances.
the company amends its pension
he pension plan are as follows:
Memo Record
Projected
Plan
Benefit
Assets
Obligation
Amount
Amount
Amount
Amount
Amount
Amount
Amount
Amount
Formula Formula
Formula
Amount
Formula
Amount
Formula
Formula
Amount
Amount
Amount
Amount
Formula
Formula

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