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The unadjusted trial balance for Sarasota Corp. is shown below. SARASOTA CORP. Trial Balance October 31, 2022 Debit Credit Cash $15,140 Supplies 3,010 Prepaid Insurance

The unadjusted trial balance for Sarasota Corp. is shown below.

SARASOTA CORP. Trial Balance October 31, 2022

Debit Credit

Cash

$15,140

Supplies

3,010

Prepaid Insurance

660

Equipment

5,170

Notes Payable

$5,170

Accounts Payable

2,530

Unearned Service Revenue

1,260

Common Stock

10,510

Retained Earnings

0

Dividends

540

Service Revenue

10,000

Salaries and Wages Expense

4,000

Rent Expense

950

$29,470

$29,470

Assume the following adjustment data.

1. Supplies on hand at October 31 total $580.
2. Expired insurance for the month is $110.
3. Depreciation for the month is $115.
4. As of October 31, services worth $930 related to the previously recorded unearned revenue had been performed.
5. Services performed but unbilled (and no receivable has been recorded) at October 31 are $340.
6. Interest expense accrued at October 31 is $80.
7. Accrued salaries at October 31 are $1,575.

Prepare the adjusting entries for the items above. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when the amount is entered. Do not indent manually.)

No.

Date

Account Titles and Explanation

Debit

Credit

1.

Oct. 31

enter an account title to record the first transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the first transaction

Enter a debit amount

Enter a credit amount

2.

Oct. 31

enter an account title to record the second transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the second transaction

Enter a debit amount

Enter a credit amount

3.

Oct. 31

enter an account title to record the third transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the third transaction

Enter a debit amount

Enter a credit amount

4.

Oct. 31

enter an account title to record the fourth transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the fourth transaction

Enter a debit amount

Enter a credit amount

5.

Oct. 31

enter an account title to record the fifth transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the fifth transaction

Enter a debit amount

Enter a credit amount

6.

Oct. 31

enter an account title to record the sixth transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the sixth transaction

Enter a debit amount

Enter a credit amount

7.

Oct. 31

enter an account title to record the seventh transaction

Enter a debit amount

Enter a credit amount

enter an account title to record the seventh transaction

Enter a debit amount

Enter a credit amount

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