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Practice Se Ps46 Preparing adjusting entries and preparing an adjusted trial balance This problem continues the Crystal Clear Cleaning situation from Problem P2-42 of Chaper

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Practice Se Ps46 Preparing adjusting entries and preparing an adjusted trial balance This problem continues the Crystal Clear Cleaning situation from Problem P2-42 of Chaper 2. Sart from the unadjusted trial balance that Crystal Clear Cleaning prepared at November 30, 2017; CRYSTAL CLEAR CLEANING Unadjusted Trial Balance November 30, 2017 Balance DebitCredit Account Title Cash Accounts Rnceiveble Cleaning Supples Prepaid Rent Prepaid insurance Equipment ruck Accounts Payable Uneamed Reverue Notes Payabe Habb, Captal Habib, Wilthdrawas Service Revenue Salaries Expense Advertising Expense Utlities Expense Total $138, 150 2.500 2,000 1,800 3.200 7,000 S 1,470 12,000 96,000 2,000 200 4,800 350 500 250 156270 $156.270 Consider the following adjustment data A Cleaning supplies on hand at the end of November were $30. b. One montlhs combin able assets was estima $270. c. One month's interest expense is $240 Requirements 1. Uing the data provided from the trial balance, the previous adjustment informa tion, and the information from Chapter 2 (P2-42), prepare all required adjusting jounal entuies at Noveer

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