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Business, 16.07.2021 18:30 angelina6836

The following errors took place in journalizing and posting transactions: a. Cash of $8,800 received on account was recorded as a debit to Fees Earned and a credit to Cash.
b. A $1,760 purchase of supplies for cash was recorded as a debit to Supplies Expense and a credit to Accounts Payable.

Required:
Journalize the entries to correct the errors.

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The following errors took place in journalizing and posting transactions: a. Cash of $8,800 receive...
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