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. On May 31, the following data were accumulated to assist the accountant in preparing the adjusting entries for Oceanside Realty: Fees accrued but unbilled

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. On May 31, the following data were accumulated to assist the accountant in preparing the adjusting entries for Oceanside Realty: Fees accrued but unbilled at May 31 are $12,210. The supplies account balance on May 31 is $4,020. The supplies on hand at May 31 are $1,150. Wages accrued but not paid at May 31 are $1,540. The unearned rent account balance at May 31 is $11,970, representing the receipt of an advance payment on May 1 of three months' rent from tenants. Depreciation of office equipment is $2,040. Required: Joumalize the adjusting entries required at May 31. If an amount box does not require an entry, leave it blank. May 31 31 31 31 31 Previous Check My Work 3 more Check My Work uses remaining. Save and El Sub Assignment for Gradin

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