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5a. Assume that the August 31 transaction for Cindy Getman's cash withdrawal should have been $10,000. As a result, the unadjusted trial balance in (4)

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5a. Assume that the August 31 transaction for Cindy Getman's cash withdrawal should have been $10,000. As a result, the unadjusted trial balance in (4) would still balance. 5b. Assume that the August 31 transaction for Cindy Getman's cash withdrawal should have been $10,000. Journalize the correcting entry. If an amount box does not require an entry, leave it blank. General Journal Page 19 Date Description Post. Ref. Debit Credit 2019 Aug. 31 5c. Assume that the August 31 transaction for Cindy Getman's cash withdrawal should have been $10,000. Is this error a transposition or slide? Slide Classifying Types of Adjustments Classify the following items as (a) accrued revenue, (b) accrued expense, (c) unearned revenue, or (d) prepaid expense: 1. Bill for ads that appeared in prior month's local newspaper. 2. Fees received but not yet earned. 3. Fees earned but not yet received. 4. Premium paid on a one-year Insurance policy. 5. Rent received in advance for rental of office space. 6. Supplies on hand. 7. Rent paid in advance. 8. Wages owed but payable in the following period

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