Transactions will be recorded as follows;
March 1
Debit Cash $21,000
Credit Common Stock $21,000
March 5
Debit Cash $9,000
Credit Notes Payable $9,000
March 10
Debit Construction Equipment $25,000
Credit Cash $25,000
March 15
Debit Advertising Expense $1,100
Credit Cash $1,100
March 22
Debit Accounts Receivable $18,000
Credit Service Revenue $18,000
March 27
Debit Cash $13,000
Credit Accounts Receivable $13,000
March 28
Debit Salaries Expense $6,000
Credit Cash $6,000