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Qur. 2. the the towing accounts and balances from the Jackson Company fo contractan Income Statement, Statement of Changes in Equity, Cash Flow Statement and
Qur. 2. the the towing accounts and balances from the Jackson Company fo contractan Income Statement, Statement of Changes in Equity, Cash Flow Statement and Balance Sheet Land Insurance Expense SI5,000 12.000 Dibution 6,500 Prepaidance Cash Accounts Payable Supplies Supplies Expense Depreciation Expense Accounts Receivable $12.000 Cash Flow From OA 1.500 Beginning Retained Ering 2.500 Beginning Contributed Capital 6x100 Service Reveme 30.000 Cash Flow From FA 23/100 Acquisition From Owners 150Amatil Depreciation N50 Cash Flow From IA 2.100 Operating Expense 1,000 Office Fuit 40,000 20,000 K.100 1.500 (20,000) 10,000 18.000 Que. J. The following errors were committed by the accountant of Shuw Company chtring the month of September 2012 The cand purchase of a $2.110 typewriter was teconted us a $2.206 dehit to Office Equipment and a 52.110 credit to cash An so perchase of applies on account was properly recorded as a dehit to the supplies account but the credit was given to cash The Company provided services Valued at $7.500 to a customer. The scutitan tecorded the transaction in the proper accounts but in the incurrect amount of $17.500 A credit of $2,000 to propaid tourance was recorded as a debit of $2,000 to prepaid intrance RequiredCopy the following table in your answer script and fill it up (4X1.5) - 6 Event No Will the debitant If differs by what credit de comply? Aut? Which is smaller Sehit or credit
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