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21 22 23 24 Cash 25 Accounts Receivable 26 Supplies 27 28 Prepaid Insurance Land Credit 580 4,250 199 145 20 2 The following are

21 22 23 24 Cash 25 Accounts Receivable 26 Supplies 27 28 Prepaid Insurance Land Credit 580 4,250 199 145 20 2 The following are the figures for the adjusted trial balance of Rainbird Car Wash Company (a fictitious company) after the accounts had been adjusted on January 31, 20XY, the end of the fiscal year Adjusted Trial Balance Account Title Debit 29 Equipment 4,830 1,913 30 Accum. Depr Equipment 386 31 Accounts Payable 1,739 32 Wages Payable 193 33 Common Stock 34 Ketained Earnings 8,325 35 Dividends 386 38 Service Fees Earned 4.733 37 Wages Expense 1,159 38 Rent Expense 380 39 Insurance Expense 483 40 Unities Expense 338 41 Supplies Expense 290 Depreciation Expense-Equip 193 Miscellaneous Expense 97 44 15456 15,456 45 46 Create an Income Statement for year ended January 31, 20xY

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