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2. prepare an adjusted trial balance 3.prepare the income statement for july 4. prepare the statement of owners equity for july 5. prepare a classified
2. prepare an adjusted trial balance
3.prepare the income statement for july
4. prepare the statement of owners equity for july
5. prepare a classified balance sheet at july 31,2021. of the note payable, $5000 must be paid by july 30,2022
6.journalise and post the closing entries.
7.prepare a post-closing trial balance at july 31.
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