Question: Verify all ending balances for each specific account after closing entries are journalized and posted. Be sure to enter all zero balances on the normal

Verify all ending balances for each specific account after closing entries are journalized and posted. Be sure to enter all zero balances on the normal balance side and enter balances for permanent accounts!

 Verify all ending balances for each specific account after closing entries

Bright, Capital Income Summary Dec 31 18.200 46,100 Adj. Bal Dec. 31 7 ,400 11.600 Dec. 31 7,700 Dec 31 4.200 Bai Dec 31 D VD20,200 Ball 20,200 4,200 Dec. 314 .200 Office Supplies Service Revenue Dec 31 16,000 Dec 31 18,200 18.200 AdjBal Ball 16.000 Supplies Expense Bright Withdrawals Adj. Bal. 300 300 Dec. 31 Adj. Bal. 5,500 5.500 Dec 31 Accounts Payable 4,000 Dec 31 4,000 Bal

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