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QUESTION

1. For 3443657 attachment: After recording all the November transactions and the required end-of-month adjusting entries, the total expenses/Revenue/...

e. is characterized by a legal distinction between the business as an economic unit and the owner.

4. Ture or False

Advance payments from customers will be immediately recognized as revenue under cash basis accounting but not under accrual basis accounting.

5. Caculator

The supplies account on June 1 had a credit balance of $5,200, additional supplies were purchased on June 10 for $2,500 and June 23 for $1,400. The supplies on hand at June 30 were $3,000.  The amount to be used for the appropriate adjusting entry is

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