Question: ----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- PREPARE A STATEMENT OF CHANGES IN EQUITY. ORIOLE LTD. Adjusted Trial Balance August 31, 2021 Debit Credit Cash $ 4580 Accounts Receivable 6200 Prepaid

 ----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------- PREPARE A STATEMENT OF CHANGES IN EQUITY. ORIOLE LTD. Adjusted

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PREPARE A STATEMENT OF CHANGES IN EQUITY.

Trial Balance August 31, 2021 Debit Credit Cash $ 4580 Accounts Receivable

ORIOLE LTD. Adjusted Trial Balance August 31, 2021 Debit Credit Cash $ 4580 Accounts Receivable 6200 Prepaid Advertising 200 Supplies 910 Notes Receivable 4000 Interest Receivable 40 Equipment 11430 Accumulated Depreciation - Equipment 2068 Accounts Payable 3180 Salaries Payable 1470 Income Tax Payable 270 Deferred Revenue 1130 Common Shares 11600 Retained Earnings 6670 Dividends Declared 490 Service Revenue 9410 Interest Income 20 Salaries Expense 5960 Rent Expense 400 Supplies Expense 950 Depreciation Expense 188 Income Tax Expense 270 Advertising Expense 200 $ 35818 35818 ORIOLE LTD. Statement of Changes in Equity Month Ended August 31, 2021 Common Shares Retained Earnings Total Equity $ $ TA $ > $ $ $

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