Question: From this partial worksheet on November 3 0 , 2 0 1 x , journalize the adjusting entries: View the partial worksheet. Why does Equipment

From this partial worksheet on November 30,201x, journalize the adjusting entries:
View the partial worksheet.
Why does Equipment remain at $675 on the adjusted trial balance?
Journalize adjusting entries. (Record debits first, then credits. Exclude explanations from adju
Start by journalizing the office supplies adjustment.
\table[[Date,Account Titles,Debit,Credit],[Nov.30,201x,,,],[,,,],[,,,]]
Worksheet (Partial)
\table[[,Trial Balance,Adjusted Trial Balance],[,Debit,Credit,Debit,Credit],[Office Supplies,1,900,1,600,,],[Prepaid Rent,380,120,,],[Equipment,675,675,,],[Salaries Expense,460,640,,],[Office Supplies Expense,500,800,,],[Rent Expense,500,760,,],[Dep. Expense, Equip.,225,300,,],[Acc. Depreciation, Equip.,,225,,300],[Salaries Payable,,,,180]]
 From this partial worksheet on November 30,201x, journalize the adjusting entries:

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