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can you show me the steps please (Click the icon to view the transactions.) Read the requirements More Info Review the joumal entry you prepared

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can you show me the steps please

(Click the icon to view the transactions.) Read the requirements More Info Review the joumal entry you prepared above. Account No. 110 CASH Balance Item Date Debit Credit Credit Post Ref. Debit Jun. 1 Jun. 5 2018 5100 1700 700 7100 Jun. 9 Jun. 1 Jun. 14 Peel opened an accounting firm by contributing 515200 cash and office furniture with a fa market value of $5.100 in exchange for common stock Paid monthly rent of $1,300 Purchased office supplies on account 5800 Paid employee's salary, 51.700. Received a bill for utilities to be paid next month. 3280 Paid $700 of the accounts payable created on June 9. Performed accounting services on account. $6.000. Paid cash dividends of $7.100 Account No. 140 Balance OFFICE FURNITURE Jun. 18 Jun. 21 Credit Debit Date Item Debit Credit Post. Ref. Jun. 25 2018 Jun.28 Jun. 1 Account No. 310 Balance Print Done COMMON STOCK Credit Debit Credit Date tem Debit Post. Ref. 2018 Jun. 1 Choose from any list or enter any number in the input fields and then click Check Answer. NO Clear All 16 parts remaining

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