xacc280_appendix_e - Debit Credit Cash 2,320 2,320 Accounts...

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Axia College Material Appendix E Preparing a Financial Statement Worksheet Complete the 10-column worksheet for Briscoe Company. Your totals will be verified. BRISCOE COMPANY Work Sheet For the Month Ended June 30, 2008 Balance Sheet Unadjusted Adjusted Income Trial Balance Adjustments Trial Balance Statement of Owner's Equity Account Debit Credit Debit Credit Debit Credit Debit Credit
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Unformatted text preview: Debit Credit Cash 2,320 2,320 Accounts Receivable 2,440 2,440 Supplies 1,880 300 1,580 Accounts Payable 1,120 1,120 Unearned Revenue 240 140 100 140 Common Stock 3,600 3,600 Service Revenue 2,400 2,400 Salaries Expense 560 280 280 Misc. Expense 160 160 Totals 7,360 7,360 Supplies Expense 1,580 1,580 Salaries Payable 280 280 Totals Net Loss Totals...
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This note was uploaded on 12/13/2011 for the course ACCOUNTING ACC 280 taught by Professor Kenfredrickson during the Spring '09 term at University of Phoenix.

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