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Answer very fast without explain 1 points Save Answer The Supplies account has a $900 debit balance at the beginning of the year in Marwa
Answer very fast without explain
1 points Save Answer The Supplies account has a $900 debit balance at the beginning of the year in Marwa Company, and $2,750 of supplies were purchased during the year. The December 31 physical count showed 5630 of supplies available. Choose the correct adjusting entry on December 31, by Marwa Company for this transaction? O A Debit Supplies Expense 53,020 Credit Supplies $3,020 8. Debit Supplies $3,020, Credit Supplies Payable $3,020 oc Debit. Supplies 5600 Credit: cash 5600 OD. Debit: Supplies Expense 5630 Credit Supplies 5600 Step by Step Solution
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