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Match the following types of adjustments with the transactions descriptions. The descriptions represent one of the adjusting entries type. Accrued revenue 2 Accrued expense Unearned

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Match the following types of adjustments with the transactions descriptions. The descriptions represent one of the adjusting entries type. Accrued revenue 2 Accrued expense Unearned reverwe Prepaid Deferred expense Match each of the options above to the items below. The Store Supplies account has a debit balance of $400, o year-end inventory count reveals $80 of supplies still on hand Services of $2,500 are not yet provided to the customer who paid on November 5, . Work was completed for a client on December 31 in the amount of $21,000, but has not been recorded. Client will pay in January Unpaid accrued salaries at December 31 amounts to $15,000

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