Place the Accounting Cycle in the correct order.

Journalize Transactions

Analyze Transactions

Post Transactions

Prepare Financial Statements

Journalize and Post the Adjusting Entries and the Closing Entries

Create a Trial Balance

Gather Adjusting Entries

Prepare a Post-Closing Trial Balance

1. Analyze Transactions

2. Journalize Transactions
3. Post Transactions
4. Create a Trial Balance
5. Gather Adjusting Entries
6. Journalize and Post the Adjusting Entries and the Closing Entries
7. Prepare Financial Statements
8. Prepare a Post-Closing Trial Balance