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fore recording adjusting entries, the Office Supplies account had a $ 6 7 0 d ile a physical count of the supplies showed $ 2

fore recording adjusting entries, the Office Supplies account had a $670d ile a physical count of the supplies showed $240 of unused supplies on ha ired adjusting entry is:
ebit Office Supplies $240 and credit Office Supplies Expense $240. bit Office Supplies $430 and credit Office Supplies Expense $430. it Office Supplies Expense $240 and credit Office Supplies $240. it Office Supplies Expense $430 and credit Office Supplies $430.
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