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The Signage Company Trial Balances March 31, 2016 Unadjusted Debit Credit Balances Balances 30,530 87,470 Adjusted Debit Credit Balances Balances 30,530 87,470 9,080 2,810 11,550
The Signage Company Trial Balances March 31, 2016 Unadjusted Debit Credit Balances Balances 30,530 87,470 Adjusted Debit Credit Balances Balances 30,530 87,470 9,080 2,810 11,550 317,920 2,190 317,920 75,500 85,310 Cash Accounts Receivable Supplies Prepaid Insurance Buildings Accumulated Depreciation --Buildings Trucks Accumulated Depreciation-Trucks Accounts Payable Salaries Payable Unearned Service Fees Common Stock Retained Earnings Dividends 91,590 91,590 43,730 19,800 45,920 20,590 6,190 4,730 125,000 203,000 125,000 203,000 59,820 59,820 signment/take AssignmentMain.donoreraksi 59,820 59,820 606,730 616,440 412,580 418,770 2,190 42,910 42,910 Dividends Service Fees Earned Salary Expense Depreciation Expense-Trucks Rent Expense Supplies Expense Utilities Expense Depreciation Expense-Buildings Taxes Expense Insurance Expense Miscellaneous Expense 6,270 10,310 11,100 9,810 6,600 6,600 9,360 7,840 7,840 1,088,200 1,088,200 1,107,180 1,107,180 Journalize the seven entries that adjusted the accounts at March 31. None of the accounts were affected by more than one adjusting entry. If an amount box does not require an entry, leave it blank. 2016 Mar 31 31 II 31 31
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