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Complete the 3 adjusting entries with the data at the bottom of the picture Trial Balance Adjustments Adjusted Trial Balance Income Statement Balance Sheet Description
Complete the 3 adjusting entries with the data at the bottom of the picture
Trial Balance Adjustments Adjusted Trial Balance Income Statement Balance Sheet Description Credit Debit Credit Debit Credit Debit Credit Debit Credit Debit 125000 39500 25600 17500 15000 358000 CASIL ACCOUNTS REC NOTE REG SUPPLIES Pre Rent Tiket AD, TRUCK BOLTPMENT KOODWILL WAGES PAYABLE ACCOUNTS PAY NOTES PAY CAPITAL DRAW 1961800 0 156000 500200 780000 650000 456200 SERVICES REVENUE CONSULTING RIV WAGES EXPENS UTILITIES EXPENSE RENT EXP SULISCRIPTIONS EXP DEPRECIATION EXP SUPPLIES EXPENSE 2542400 2542400 0 SUBTOTAL 1961800 1 Services not billed, $38,000. 2 Rent used for period, $6,000. 3. Inventory of Office Supplies in stock $13,200 SUPPLIES USED ACT INVEN Step by Step Solution
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