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Adjustments Debit Credit 885 660 125 Unadjusted Trial Balance Debit Credit 1,985 1,010 1,610 340 8,330 730 1,150 9,170 1,060 7,260 1,310 2,310 355 Cash
Adjustments Debit Credit 885 660 125 Unadjusted Trial Balance Debit Credit 1,985 1,010 1,610 340 8,330 730 1,150 9,170 1,060 7,260 1,310 2,310 355 Cash Accounts Receivable Prepaid insurance Supplies Equipment Accumulated depreciation-equipment Accounts payable Retained earnings Dividends Services revenue Rent expense Salaries expense Utilities expense Insurance expense Supplies expense Depreciation expense-equipment Totals 200 885 660 125 200 18,310 18, 310 1,870 1,870 Multiple Choice O $4.170. O O $3,185. O O $2,500. $3,285 O O O $2,300. Adjustments Debit Credit 885 660 125 Unadjusted Trial Balance Debit Credit 1,985 1,010 1,610 340 8,330 730 1,150 9,170 1,060 7,260 1,310 2,310 355 Cash Accounts Receivable Prepaid insurance Supplies Equipment Accumulated depreciation-equipment Accounts payable Retained earnings Dividends Services revenue Rent expense Salaries expense Utilities expense Insurance expense Supplies expense Depreciation expense-equipment Totals 200 885 660 125 200 18,310 18, 310 1,870 1,870 Multiple Choice O $4.170. O O $3,185. O O $2,500. $3,285 O O O $2,300
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