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Prepare the necessary correcting entry for each of the following. a. A collection on account of $350 from a customer was credited to Accounts Receivable

Prepare the necessary correcting entry for each of the following.

a. A collection on account of $350 from a customer was credited to Accounts Receivable $530

and debited to Cash $530.

b. The purchase of supplies on account for $310 was recorded as a debit to Equipment $310

and a credit to Accounts Payable $310.

c A check for $950 from S. Wilde, a customer on account, was debited to Cash $950 and

credited to Service Revenue, $950.

d. A payment for Advertising Expense costing $720 was debited to Utilities Expense, $270 and

credited to Cash $270.

e. A bill for $950 for Supplies purchased on account was debited to Equipment, $590 and

credited to Accounts Payable $590.

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