2) Provide the adjusting entries to account for the differences between the trial balance amounts...

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Accounting

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2) Provide the adjusting entries to account for the differences between the trial balance amounts and the adjusted trial balance amounts for the accounts shown. Only a partial trial balance is provided. Use the Adjustments column to show the entries. Adjusted Trial Balance Adjustments Trial Balance Debit Credit Debit Credit Debit Credit Supplies 500 250 Prepaid Rent 1,100 300 Equipment 10,000 10,000 Accum. Dep. - Equip 3,000 3,400 Service Fees 1,200 1,200 Depreciation Expense 400 Telephone Expense 50 Salaries Expense 500 600 Rent Expense 800 Supplies Expense 250 50

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