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The Amount of Supplies reported on the Adjusted Trail Balance in box (d) is: a. Supplies 350 with a debit balnce b. Supplies 350 with

The Amount of Supplies reported on the Adjusted Trail Balance in box (d) is:
a. Supplies 350 with a debit balnce
b. Supplies 350 with a credit balnce
c. Supplies 1400 with a debit balnce
d. Supplies 1400 with a credit balnce
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MIRA SERVICE Worksheet For the Month Ended May 31, 2019 Account Titles Adjustments Dr. Cr. Income Statement Dr. Cr. Balance Sheet Dr. Cr. Trial Balance DE Cr. 6,250 2,000 Adi. Trial Balance Dr. Cr. 6,250 2,000 1,750 (d 6,000 6,000 2,500 750 2,500 750 Cash Accounts Receivable Supplies Equipment Accounts Payable Unearned Service Revenue Owner's Capital Service Revenue Salaries & Wages Expense Utilities Expense Totals (a) 12,750 3,900 12,750 3,900 3,000 900 19,900 19.900 (b) Totals Net Profit Loss Totals

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