accounting (financial) question about adj entries?

  • Thread starter Thread starter Cheez it
  • Start date Start date
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??
 
Back
Top