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This is a balance sheet for a fictional ag input supplier. Organize the currenton-current assets and liabilities. Item Name Item Name 2 Credit card balances

This is a balance sheet for a fictional ag input supplier. Organize the currenton-current assets and liabilities.
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Item Name Item Name 2 Credit card balances 3 Equipment tools 4 Employee pension fund 5 Property & land 6 Renovations/improvements 7 Pre-paid expenses 8 Interest payable 9 Accrued wages 10 Vehicles 11 Unsold Stock 12 Petty cash 13 Inventory Item Value (Book) Item Value (Market) 13,233 13,233 49,512 $ 97,643 385,000 385,000 777,777 1,204,957 45,100 $ 7,069 1,375 $ 1,375 45,348 45,348 111,100 $ 111,100 101,475 $ 126,084 310,813 235,898 58,629 $ 58,629 135,802 134,833 A s os esto es es es ist e A tests to EA ES ES ES s el ASSES EH ASSETS Costin ($) Market in ($) Current Assets: within 12 months from date on balance sheet arket) 233 643 000 957 069 375 348 100 084 3,898 5,629 833 Total Current Assets Intermediate Assets: 12-120 months from date on balance sheet Total Non-Current Assets Long-Term (fixed) Assets: 120 months from date on balance sheet Total Non-Current Asset TOTAL ASSETS LIABILITIES NET Costin ($) Market in ($) Oyne Current Liabilities: within 12 months from date on balance sheet Total Current Liabilities Intermediate Liabilities: 12-120 months from date on balance sheet Total Non-Current Liabilities: Long-Term (fized) Liabilities: > 120 months from date on balance sheet Total Non-Current Liabilities TOTAL WARNITIES TITI Insert Delete Format Clear Sort & Fin Filter Sele Cells Editing RS o P Q NET YORTH AS OF 01/01/2019 Costin ($) Owner Equity Market in ($)

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