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The T-accounts below summarize the ledger of Bramble Landscaping Company at the end of the first month of operations. Cash No. 101 4/1 10,000 4/15
The T-accounts below summarize the ledger of Bramble Landscaping Company at the end of the first month of operations. Cash No. 101 4/1 10,000 4/15 3,100 4/12 970|4/25 1,200 4/29 220 4/30 2,100 Accounts Receivable No. 112 4/7 3,000 4/29 220 Supplies No. 126 4/4 3,500 Accounts Payable No. 201 4/25 1,200 4/4 3,500 Unearned Service Revenue No. 209 4/30 2,100 Owner's Capital No. 301 4/1 10,000 Service Revenue No. 400 4/7 3,000 4/12 970 Salaries and Wages Expense No. 726 4/15 3,100 Prepare a trial balance at April 30, 2020. BRAMBLE LANDSCAPING COMPANY Trial Balance April 30, 2020 Debit Credit $ $ Totals $ $ $
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