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The business purchased $3,000 of supplies in cash and you wrongly recorded the transaction as debit supplies expense for $3,000 and credit cash for $3,000.

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The business purchased $3,000 of supplies in cash and you wrongly recorded the transaction as debit supplies expense for $3,000 and credit cash for $3,000. How should you make correcting adjustment into the journal? O a. Debit Cash for $3,000 and credit Supplies Expense for $,3000. O b. Debit Supplies for $3,000 and credit Cash for $3,000 O c. Only debit Supplies for $3,000. O d. Debit Supplies for $3,000 and credit Supplies Expense for $3,000

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