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Adjusted Trial Balance 30 June 2019 Debit 8,700 170,000 Cash- 68,000 64,000 15.000 8,000 1800 25,660 5,600 A Building - CE Accumulated depreciation Building M
Adjusted Trial Balance 30 June 2019 Debit 8,700 170,000 Cash- 68,000 64,000 15.000 8,000 1800 25,660 5,600 A Building - CE Accumulated depreciation Building M CA Delivery Vehicles Cost of Sales Wages PayableCL Depreciation expense Building Accounts Receivable Electricity expense C Wages expenses Rent Expense Accumulated Depreciation Delivery Vehicles -M Accounts Payable CL Capital DE Sales Revenue Puen Loan Payable IL Prepaid Insurance CA Inventory CA Bank deposit (matures 1/8/19) CA Depreciation expense-Delivery Vehicles EAP Total 8,000 6,500 159.000 133,000 45,000 4,600 9.900 37,000 4,000 422,260 422,260 Required: Prepare an income statement for the year ended 30 June 2019 Prepare a balance sheet sit would appear on 30th June 2019, using the report format and clearly identify the total assets, total liabilities, net assets and total equity
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