Question: Provide the adjusting entries to account for the differences between the trial balance amounts and the adjusted trial balance amounts for the accounts shown. Only

Provide the adjusting entries to account for the differences between the trial balance amounts and the adjusted trial balance amounts for the accounts shown. Only a partial trial balance is provided. Answer the following questions regarding the adjusting entries. 1. a. How much Prepaid Rent was used during the period: b. What account should be debited? c. What account should be credited? 2. a. How much did the equipment depreciate during the period? b. What account should be debited? c. What account should be credited? 3. a. How much of the Supplies were used up during the period? b. What account should be debited? c. What account should be credited? 4. a. How much of accrued salaries had not been recorded or paid at the end of the period? b. What account should be debited? c. What account should be credited
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