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Business, 10.03.2020 03:07 tfornwalt4390

Prior to recording adjusting entries, the Office Supplies account had a $367 debit balance. A physical count of the supplies showed $109 of unused supplies available. The required adjusting entry is:

a. Debit Office Supplies $105 and credit Supplies Expense $254.
b. Debit Office Supplies Expense $105 and credit Office Supplies $105.
c. Debit Office Supplies $254 and credit Office Supplies Expense $254.
d. Debit Office Supplies Expense $254 and credit Office Supplies $254.
e. Debit Office Supplies $105 and credit Office Supplies Expense $105.

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Prior to recording adjusting entries, the Office Supplies account had a $367 debit balance. A physic...
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