TC ICYuements i More Info Sep 16 Collected $2,500 cash from a client on account. 18 Provided services on account, $1,500. 21 Received $2,200 cash for services provided. 23 Purchased supplies on account, $300. 25 Paid $1,300 in dividends. 27 Paid $2,200 on account. 29 Received $3,500 cash for services provided. 30 Paid rent, $2,000. 30 Paid employees' salaries, $2,600. Print Done Show all X 8:43 PM 3/12/2020 The trial balance for KXT, Inc., at September 15, 2018, follows: E (Click the icon to view the trial balance.) During the remainder of (Click the icon to vi Read the requirements. Cash Post Ref. Account No. 110 Balance / Debit Credit 4.100 Date Item Debit Credit Sep 15 Bal. 3500 Accounts receivable Account No. 112 Choose from any list or enter any number in the input fields and then continue to the next question. search The trial balance for KXT, Inc., at September 15, 2018, follows: (Click the icon to view the trial balance.) During the remainder of September, (Click the icon to view the transa Accounts receivable Read the requirements 112 Account No. Post Balance Date Item Ref. Debit Credit Credit Sep 15 Bal. Debit 9,100 16 Supplies Post Ref. Account No. 115 Balance Debit Credit Date Item Debit Credit Sep 15 Bal. 900 16 Arrunte navala Annun No 140 Choose from any list or enter any number in the input fields and then continue to the next question och The trial balance for KXT, Inc., at September 15, 2018, follows: (Click the icon to view the trial balance.) During the remainder of Sep (Click the icon to view the Read the requirements 900 Sep 15 Bal. 16 - Accounts payable Post Ref. Account No. 140 Balance Debit Credit 4,500 Date Item Debit Credit Sep 15 Bal. 16 18 Dividends Post Ref. Account No. 210 Balance Debit Credit 2,900 Date Item Debit Credit Sep 15 Bal. Choose from any list or enter any number in the input fields and then continue to the next question re to search The al balance for KXT, Inc., at September 15, 2018, follows: (Click the icon to view the trial balance.) nts During the rema (Click the ice Dividends Read the require Account No. 210 Balance Debit Credit 2,900 Post Ref. rive Date Item Debit Credit Sep 15 Bal. 16 Service revenue Post Ref. Account No. 311 Balance Debit Credit Date Item Debit Credit Sep 15 Bal. 6,600 Choose from any list or enter any number in the input fields and then continue to the next question e here to search The trial balance for KXT, Inc., at September 15, 2018, follows: (Click the icon to view the trial balance.) During the remainder of Septe (Click the icon to view the Read the requirements 21 Salaries expense Post Ref. Account No. 315 Balance / Debit Credit 2,700 Date Item Debit Credit Sep 15 Bal. 16 Rent expense Account No. 411 Balance Post Ref. Credit Debit / Date Credit Item Debit 700 Sep 15 Bal. Choose from any list or enter any number in the input fields and then continue to the next question search (Click the icon to view the trial balance.) During the remainder of (Click the icon to view Read the requirements Requirement 3. Prepare the trial balance for KXT, Inc., at September 30, 2018 KXT, Inc. Trial Balance September 30, 2018 Account Credit Acct # 110 112 115 Debit 2500 Cash Accounts receivable Supplies 140 Equipment 210 Accounts payable 311 Common stock Choose from any list or enter any number in the input fields and then continue to the next question There to search ents (Click the icon Read the requirem NEGET RULUUT WEMI 110 2500 112 Drive 115 Cash Accounts receivable Supplies Equipment Accounts payable Common stock 140 210 311 315 Dividends 411 Service revenue 511 Salaries expense 515 Rent expense Total Choose from any list or enter any number in the input fields and then continue to the next question. pe here to search