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Prepare the December 31 adjusting entries with descriptions for the following transactions 1. Fees accrued but not billed , $6,300 2. The Supplies account balance
Prepare the December 31 adjusting entries with descriptions for the following transactions 1. Fees accrued but not billed , $6,300 2. The Supplies account balance on December 31 ,54,750 , Supplies on hand, 3. Wages accrued but not paid, $2,700 4. Depreciation of office equipment , $ 1,650
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