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At Sunland company, the following errors were discovered after the transaction had been journalized and posted. a collection on account from a customer for $1,000
At Sunland company, the following errors were discovered after the transaction had been journalized and posted. a collection on account from a customer for $1,000 was recorded as a debit to cash and credit to service revenue for $1,000 The purchase of store supplies on account for $1510 was recorded as a debit to supplies 1150 and a credit to Accounts payable $1150 Not sure how to make the correcting entries
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