Question: 1.) Journalize and post the adjusting entries for June based on the following adjustment information.a) Supplies on hand, $200.b) Depreciation, $100 equipment, $75 furniture, $330
1.) Journalize and post the adjusting entries for June based on the following adjustment information.a) Supplies on hand, $200.b) Depreciation, $100 equipment, $75 furniture, $330 vehicles.c) Services performed but unbilled, $1,900.d) Accrued salaries, $550.
2.) Prepare an adjusted trial balance for Purity Water, Inc., at the end of June.
POST. DATE ACCOUNTS REF. Dr. Cr. June 30 Prepare an adjusted trial balance for Purity Water, Inc., at the end of June. ?? Adjusted Trial Balance June 30, 2014 Unadjusted Trial Balance Adjustments ACCOUNT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT
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