Prepare wajuma estrecord the transactions below for Sale Company czterecording the transactions point them to act and determine the ending of each count Galloumral Kay Spatented $100.750th in the company in exchange for common stock De T accounts Cai Accounts Payable The company purchased looples for $1.250 ca Common Stock The company purchased $10050 of equipment on credit Accounts Receivable 1 20 13 14 15 16 10 The compared $15.500 feed for service to cutomer Theco 510,00 to the peor the end purchiation Office Supplier 19 20 Siseamet 21 11 The company als 52.700 prowded oment 125 10 The company and 51,721ch for the most Theme51.42 at for the account tinirion 30 31 33 14 A B D E F G H 1 ACC-220 Name: 2 E2-10 3 After recording the transactions of E2-9 in T-accounts and calculating the balance of each account, 4 prepare a trial balance. Check figure: Total debits = Total credits = $118,950 5 6 Trial balance Debits Credits 7 Cash 8 Accounts receivable 9 Office supplies 10 Office equipment 11 Accounts payable Common stock 13 Dividends 14 Service fees earned 15 Rent expense 16 Totals 17 18 19 20 21 22 12 Formatting Table Styles Format XVfx C D G H > K L M . Nane 0 A 0220 5 u Prepare raumaltres to record the transactions below for Spade Company her recording the transactions, post them to accounts, and determine the ending balance of each account Om ouma Kay Spade Owner Inverted $100.750 cash in the company in change for comon stock Debit Credit Taccount Accounts Payable The company purchased the supplies for $1.250 each The company purchased $10,050 office equipment on credit Common Stock Accounts Receivable The company received $15.500 cash as fees for provided to somer Dividendi The company od 510.050 tahto the puble for the office equipment purchased in transaction Office Supplies The company billeder $2.700 sf forrvices provided The company and $1.225 cash for the monthly rent Oricequipment The company collected $1.12 cunha partial payment for the accounts receivable Ered in transaction Thecomanad 510,000 cash in vidends to the owner wholder E2-9 E2.10 + O 21 tv A Paste BIU a. Av lil G1 Ax & fx A B D 8 E G H 1 ACC-220 Name: 2 E2-10 3 After recording the transactions of E2-9 in T-accounts and calculating the balance of each account, 4 prepare a trial balance. Check figure: Total debits - Total credits = $118,950 $ 6 Trial balance Debits Credits 7 Cash Accounts receivable 9 Office supplies 10 Office equipment 11 Accounts payable 12 Common stock 13 Dividends 14 Service fees earned 15 Rent expense 16 Totals 17 18 19 20 21 22 23 24 25 26 27