We are nonprofit. We got an award letter from HUD for the homebuyer subsidy in the amount of $700,000 in October 2006. We received $700,000 subsidy funds for the homebuyers in January 2, 2007. We deposited it to the bank immediately. We will pay all of the fund $700,000 to homebuyers for the next 3 years. How can I record the journal entries?
My journal entries:
Upon award:
DR Acct Receivable: $700,000
CR Subsidy Revenue $700,000
Upon deposit:
DR Cash $700,000
CR Acct Receivable $700,000
Upon payment to each Homebuyers
DR Subsidy Revenue $10,000
CR Cash $10,000
Per consultant, this is liability, not revenue, but he does not want to correct the errors for us.
Would you help me to correct the errors? Thank you in advance.
My journal entries:
Upon award:
DR Acct Receivable: $700,000
CR Subsidy Revenue $700,000
Upon deposit:
DR Cash $700,000
CR Acct Receivable $700,000
Upon payment to each Homebuyers
DR Subsidy Revenue $10,000
CR Cash $10,000
Per consultant, this is liability, not revenue, but he does not want to correct the errors for us.
Would you help me to correct the errors? Thank you in advance.
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