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For each of the following incorrect entries. Entry Description Debit Credit a. Office Supplies 1,800 Cash 1,800 (Purchase of office supplies on credit.) b. Cash

For each of the following incorrect entries.

Entry Description Debit Credit
a. Office Supplies 1,800
Cash 1,800
(Purchase of office supplies on credit.)
b. Cash 4,500
Revenue 4,500
(Received from customer. A credit customer paid their account in full)
c. Salaries Expense 1,500
Cash 1,500
(Withdrawal of cash for personal use.)
d. Cash 750
Accounts Receivable 750
(Performed services and received payment from customer on the same day.)

Journalize the appropriate correcting entry(ies).

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