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Exercise 2-9 (Part Level Submission) Selected transactions from the journal of June Feldman, investment broker, are presented below Date Account Titles and xplanation Aug.1 Cash
Exercise 2-9 (Part Level Submission) Selected transactions from the journal of June Feldman, investment broker, are presented below Date Account Titles and xplanation Aug.1 Cash Ref. Debit Credit 5,850 Owner's Capital 5,850 (Owner's investment of cash in business) 10 Cash 3,042 Service Revenue 3,042 (Received cash for services performed) 12 Equipment 5,850 2,691 3,159 Cash Notes Payable (Purchased equipment for cash and notes payable) 25 Accounts Receivable 1,989 Service Revenue 1,989 (Billed clients for services performed) 31 Cash 1,053 Accounts Receivable 1,053 (Receipt of cash on account) ? (b) Prepare a trial balance at August 31, 2017 JUNE FELDMAN, INVESTMENT BROKER Trial Balance Debit Credit Totals
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