C
Cheez it
Guest
The November 30 and December 31 adjusted trial balances include the following account information:
November 30 December 31
Debit Credit Debit Credit
Supplies 1,800 3,600
the following information also is known:
a. Purchases of supplies in December total $4,000.
Show the adjusting entries that were made for supplies
The answer is
(a) Supplies expense 2200
Supplies 2200
Can someone explain this to me??
November 30 December 31
Debit Credit Debit Credit
Supplies 1,800 3,600
the following information also is known:
a. Purchases of supplies in December total $4,000.
Show the adjusting entries that were made for supplies
The answer is
(a) Supplies expense 2200
Supplies 2200
Can someone explain this to me??