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Adjusted Trial Balance December 31 Cash 6,142 Accounts Receivable 2,010 Prepaid Expenses 663 Equipment 14,483 Accumulated Depreciation 3,293 Accounts Payable 1,510 Notes Payable 4,475 Common
Adjusted Trial Balance December 31 Cash 6,142 Accounts Receivable 2,010 Prepaid Expenses 663 Equipment 14,483 Accumulated Depreciation 3,293 Accounts Payable 1,510 Notes Payable 4,475 Common Stock 1,000 Retained Earnings 10,816 Dividends 697 Fees Earned 6,780 Wages Expense 3,352 Rent Expense 895 Utilities Expense 355 Depreciation Expense 189 Miscellaneous Expense 88 Totals 28,874 28,874 Determine the total liabilities for the period
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