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E3-10 (similar to) Question Help For each of the following live independent on umle the adjusting end the related transaction (ther before or after )

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E3-10 (similar to) Question Help For each of the following live independent on umle the adjusting end the related transaction (ther before or after ) (Record debits, then credits. Select the explanation on the last line of the journal entry table. Round mounts to the nearest whole dollar) Click the ken to view the situations.) Situation - X 6000 To record revenue that was collected in advance Dec 31-year end using only needed to update the balance in the account Date Accounts and Explanation (a) Dec 31 Debit Credit Dec 1 bus receives 1,000 for a 10 month service contract Dec 31 yw ending tyded to update the balance in the account b. Mar 31 - work performed but not yet billed to customers for the month $1,600 Ap 21-received payment for the work that was completed c. Jun 15-purchased 3.200 of office supplies on account Dec 31 - a count of supplies shows that only $1.200 worth is left a year-end, so the balance in the account needs to be updated d. Feb 2-business paid a 5900 depose for the last month's rental of a copiaron a 10 month con Nov 30-the rental period for the copier ended, so the balance in the prepaid account must be updated e. Jun 1-purchased luck for 546,400 (cash) with an expected seal life of eight years Dec 31-yearending entry needed to record amortization Choose from any st or enter any number in the input ids and then click Check Answer Print Done - x i Situations a Dec, 1-business receives $6,000 for a 10-month service contract Dec. 31-year-end adjusting entry needed to update the balance in the account. b. Mar. 31 - work performed but not yet billed to customers for the month, $1,600. Apr. 21 - received payment for the work that was completed. 6. Jun. 15 - purchased $3,200 of office supplies on account. Dec. 31 - a count of supplies shows that only $1,200 worth is left at year-end, so the balance in the account needs to be updated. d. Feb. 2- business paid a $900 deposit for the last month's rental of a copier on a 10-month contract Nov. 30 - the rental period for the copier ended, so the balance in the prepaid account must be updated e. Jun 1 - purchased truck for $46.400 (cash) with an expected useful life of eight years. Dec. 31 year-end adjusting entry needed to record amortization. Print Done Clear All Check Answer EN 5:34 PM 6/14/2020 SLUIG PL y and the related transaction (either before or afte 1 Situa 6,000 ) E3-10 Accounts Payable For each of the f Accounts Receivable entry table. Rou Accumulated Amortization Truck Amortization Expense--Truck Click the ic Cash Prepaid Rent Rent Expense Rent Revenue Salaries Expense Salaries Payable Dec. 31-year-e Service Revenue Supplies Date Supplies Expense (a) Dec 31 Debit Credit a. Dec Dec b. Mar. Apr c. Jun. Dec the a d. Feb contr Nov. upda e. Jun Dec. Choose from any list or enter any number in the input fields and then click Check Answer 18 parts Clear All remaining

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