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  • Sep 15, 2007, 04:33 PM
    anniekoz74
    Hard Accounting
    What are the adjusting entries. (I looked in my texted but I couldn't find any examples even remotely close to this question.)


    The Office Supplies account had a $700 debit balance on December 31, 2007; and $3480 of office supplies were used during the year. The December 31,2008, physical count showed $298 of supplies avaailable.
  • Sep 15, 2007, 07:05 PM
    CaptainForest
    Start of year we had 700 in supplies
    We used up 3480
    Ended with 298

    Therefore, we must have purchased 3078 supplies during the year

    So when we bought the supplies, the JE would have been

    To make the adjustment for what was used…
    Dr. Supplies Expense 3480
    Cr. Office Supplies 3480

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