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Fe: 0 of 1 pt 4-26 (similar to) ekson Veterinary Hospital completed the following worksheet as of December 31, 2024. (Click the icon to view

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Fe: 0 of 1 pt 4-26 (similar to) ekson Veterinary Hospital completed the following worksheet as of December 31, 2024. (Click the icon to view the partial worksheet.) ead the requirements. Income Adjusted Trial Balance Statement Account Names Debit Credit Debit Credit $ Cash Accounts Receivable Office Supplies Prepaid Rent Equipment Accumulated Depreciation Equipment Accounts Payable 24,500 10,500 900 6,550 26,000 $ 2,000 3,000 Enter any number in the edit fields and then click Check Answer. 6 parts remaining EF4-26 (similar to) Jackson Veterinary Hospital completed the following worksheet as of December 31, 2024. B Click the icon to view the partial worksheet.) 3,000 290 875 Read the requirements Accounts Payable Utilities Payable Salaries Payable Uneamed Revenue Jackson, Capital Jackson, Withdrawals Service Revenue Rent Expense Salaries Expense Supplies Expense Iltilities FANSA 7,000 91,510 26,000 28,100 22,450 7,875 500 Enter any number in the edit fields and then click Check Answer, 5 500ll 6 parts E4-26 (similar to) ackson Veterinary Hospital completed the following worksheet as of December 31, 2024. (Click the icon to view the partial worksheet.) Read the requirements. Service Revenue 28,100 22,450 7,875 Rent Expense Salaries Expense Supplies Expense Utilities Expense Depreciation Expense-Equipment 500 5,500 2,000 Total $ 132,775$ 132,775 Net income or loss Enter any number in the edit fields and then click Check Answer. 6 parts remaining ecember 31, 2024. Requirements - X 00 od 290 1. Complete the worksheet for Jackson Veterinary Hospital. 2. Prepare the closing entries. 3. Prepare a post-closing trial balance. _000 ,510 Print Done 3.100 er Clear All o 18 of 19 (11 complete) HW Score: 50 60 CY 2,000 Data Table 4 Income Statement Debit Credit Balance Shee Debit Cred Unadjusted Trial Balance Debit Credit $ 24,500 8,000 1,400 7.000 26,000 5 Account Names Bl Cash y Accounts Receivable 8 Office Supplies 9 Prepaid Rent 10 Equipment 11 Accumulated Depreciation Equipment 12 Accounts Payable 13. Utilities Payable 14 Salaries Payable 15 Uneamed Revenue 900 Adjustments Adjusted Trial Balance Debit Credit Debit Credit 5 24,500 $1,000 10,500 (b) 500 (a) 450 6,550 20.000 c) 2,000 $ 2.000 3.000 290 (0) 875 1,500 7.000 s 3.000 290 875 8,500 Print Done Type here to search o RI E ENG 2:58 AM 2/2012021 Data Table (0) 875 1,500 8.500 di 91,510 875 7,000 91.510 Ex 25,000 26.000 25,000 (d, 3,100 28,100 14 Salaries Payable 15 Unearned Revenue 16 Jackson, Capital 17 Jackson, Withdrawals 18 Service Revenue 19 Rent Expense 20 Salaries Expense 21 Supplies Expense 22 utilities Expense 23 Depreciation Expense-Equipment fa 22.000 7.000 450 875 500 any (5) 22450 7.875 500 5,500 2.000 5.500 ma (c) 2000 S 128,300 128,300 $ $6.925 56,9255 132.775 $ 132,775 24 Total Print Done ENI 258 AM 2060

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