1
Issue Date January 1, 2021 Principal
Maturity Date December 31, 2021 Interest
Face Amount 2,000,000 Total
Issue Price 1,903,927
Term 3 Date Interest Paid
Nominal Rate 10% 1/1/2021
Effective Rate 12% 12/31/21 200,000
Interest payment every yearend 200,000 12/31/22 200,000
12/31/23 200,000
Journal Entries
1/1/2021 Cash 1,903,927
Discount on Bonds Payable 96,073
Bond Payable 2,000,000
12/31/2021 Interest Expense 228,471
Cash 200,000
Discount on Bonds Payable 28,471
12/31/2022 Interest Expense 231,888
Cash 200,000
Discount on Bonds Payable 31,888
12/31/2023 Interest Expense 235,714
Cash 200,000
Discount on Bonds Payable 35,714
Bonds Payable 2,000,000
Cash 2,000,000
2. Issuance at a premium
Issue Date January 1, 2021
Maturity Date December 31, 2021 Principal
Face Amount 2,000,000 Interest
Issue Price 2,206,168 Total
Transaction Cost 106,694
2,099,474 Date Interest Paid
Term 3 1/1/2021
Nominal Rate 12% 12/31/21 240,000
Effective Rate 10% 12/31/22 240,000
Interest payment every yearend 240,000 12/31/23 240,000
1/1/2021 Cash 2,206,168
Premium on Bonds Payable 206,168
Bonds Payable 2,000,000
Premium on Bonds Payable 106,694
Cash 106,694
12/31/2021 Interest Expense 209,947
Premium on Bonds Payable 30,053
Cash 240,000
12/31/2022 Interest Expense 206,942
Premium on Bonds Payable 33,058
Cash 240,000
12/31/23 Interest Expense 203,636
Premium on Bonds Payable 36,364
Cash 240,000
Bonds Payable 2,000,000
Cash 2,000,000
PV
(1+i)^-n 1,423,560
((1-(1+i)^-n)/i) 480,366
1,903,927
Interest Expense Amortization Present Value
1,903,927
228,471 28,471 1,932,398
231,888 31,888 1,964,286
235,714 35,714 2,000,000
Bonds Payable 2,000,000
Discount on Bonds Payable 67,602
Carrying Amount 1,932,398
Bonds Payable 2,000,000
Discount on Bonds Payable 35,714
Carrying Amount 1,964,286
PV
(1+i)^-n 1,502,630
((1-(1+i)^-n)/i) 596,844
2,099,474
Interest Expense Amortization Present Value
2,099,474
209,947 30,053 2,069,421
206,942 33,058 2,036,364
203,636 36,364 2,000,000