The following information relates to adjustments needed by a law firm at the end of an accounting period. Prepare the necessary adjusting journal entries for the month. 4. Prepaid rent for the year on April 1, 2019. Rent expired during the month of April 2019, $5,500. Record the adjustment on April 30, 2019 8. Purchased supplies for $3,500 on April 1, 2019. Inventory of supplies was $2,600 on April 30, 2019. Record the adjustment for the amount of the supplies that were used during the month of April 2019. C. Depreciation is computed using the straight-line method. Equipment purchased on April 1, 2019, for $14.400 has an estimated useful life of 15 years with no salvage value. Record the adjustment on April 30, 2019. 2. Signed a 6-month contract for $3,600 of prepaid advertising on April 1, 2019. Record the adjustment for the amount of the contract that expired during the month of April 2019. View transaction list Journal entry worksheet 1 Prepaid rent for the year on April 1, 2019. Rent expired during the month of April 2019, $5,500. Record the adjustment on April 30, 2019. bnth of 2 Purchased supplies for $3,500 on April 1, 2019. Inventory of supplies was $2,600 on April 30, 2019. Record the adjustment for the amount of the supplies that were used during the month of April 2019. Credit 3 Depreciation is computed using the straight-line method. Equipment purchased on April 1, 2019, for $14,400 has an estimated useful life of 15 years with no salvage value. Record the adjustment on April 30, 2019. 4 Signed a 6-month contract for $3,600 of prepaid advertisinn on April 1 2019 Rerned the adictment for Note : = journal entry has been entered Record entry Clear entry View general journal C. Depreciation is computed using the straight-line method. Equipment purchased on April 1, 2 estimated useful life of 15 years with no salvage value. Record the adjustment on April 30, 20 2. Signed a 6-month contract for $3,600 of prepaid advertising on April 1, 2019. Record the adju contract that expired during the month of April 2019. View transaction list Journal entry worksheet