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On March 1, 2020, Smith Company had $2.000 in the Supplies account on March 31, 2020, a physical count of supplies revealed that 5400 of

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On March 1, 2020, Smith Company had $2.000 in the Supplies account on March 31, 2020, a physical count of supplies revealed that 5400 of supplies are still on hand Provide the appropriate accounts that Smith Company should debit and credit to record th ADJUSTING JOURNAL ENTRY ON MARCH 31, 2020 The adjusting journal entry on March 31 would include a debit to the following account name select an accountame, not an amount for this question Oregon CARA The adjusting journal entry on March 31 would indude a credit to the following account Supplies name:select an account name, not an amount for this question 2.400 The dollar amount that should be debited and credited amount, not in con Accounts Payable name for this question Supplies Expert 2.000 None of the court correct 5400 1,800 Ne page MacBook Air

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