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Pelcher Co. mantiene un fondo de caja chica de $400. El 31 de enero, el fondo se repone. Los recibos acumulados a esa fecha representan

Pelcher Co. mantiene un fondo de caja chica de $400. El 31 de enero, el fondo se repone. Los recibos acumulados a esa fecha representan $110 para suministros de oficina, $140 para inventario de mercadera y $70 para gastos varios. Hay un excedente de efectivo de $4. El asiento de diario para reponer el fondo el 31 de enero es:

A) Artculos de oficina del Dr., $110; Inventario de Dr. Merchandise, $140; Dr. Gastos varios, $70; Dr. Cash sobre y corto, $4; cromo Caja chica, $324.

B) Suministros de oficina del Dr., $110; Inventario de Dr. Merchandise, $140; Dr. Gastos varios, $70; Dr. Cash sobre y corto, $4; cromo Efectivo, $324.

C) Suministros de oficina del Dr., $110; Inventario de Dr. Merchandise, $140; Dr. Gastos varios, $70; cromo Cash over and short, $4; cromo Caja chica, $316.

D) Suministros de oficina del Dr., $110; Inventario de Dr. Merchandise, $140; Dr. Gastos varios, $70; cromo Cash over and short, $4; cromo Efectivo, $316.

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