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------------------------------------------- E2-13 Post journal entries and prepare a trial balance. (LO 3, 4) AP Selected transactions from the journal of June Feldman, investment broker, are

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E2-13 Post journal entries and prepare a trial balance. (LO 3, 4) AP Selected transactions from the journal of June Feldman, investment broker, are presented below: Date Account Titles and Explanation Ref Debit Credit Aug. 1 Cash 5,000 J. Feldman, Capital 5,000 Owner's investment of cash in business. 10 Cash 2,600 Service Revenue 2,600 Received cash for services performed. 12 Equipment 5,000 Cash 2,300 Notes Payable 2,700 Purchased equipment for cash and notes payable. 25 Accounts Receivable 1,700 Service Revenue 1,700 Billed clients for services performed. 31 Cash 900 Accounts Receivable 900 Received cash on account. Instructions (a) Post the transactions to T accounts. (b) Prepare the trial balance at August 31, 2017

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