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Adjustment for Supplies CDE4. The balance in the Supplies account for F. Lang Company on September 1 was $470. Purchases of supplies for cash were

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Adjustment for Supplies CDE4. The balance in the Supplies account for F. Lang Company on September 1 was $470. Purchases of supplies for cash were made on September 6 for $220 and on September 19 for $370. A physical count determined that $430 of supplies remained on hand on September 30. Making adjustments for supplies (10 min) Required a. Prepare the two journal entries to record the supplies purchases on September 6 and September 19. b. Prepare the adjusting entry required on September 30 to record the supplies used during September. Use a T account to calculate the amount of the supplies used

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