Im confused please help! Create a journal entry and a T-account entry for each of the following transactions: a. $30,000 worth of...
Im confused please help!
Create a journal entry and a T-account entry for each of the following transactions:
a. $30,000 worth of supplies purchased with cash
b. $10,000 worth of supplies used to provide clients with goods and services
c. Wages due to employees that had been previously recorded as a liability now paid in cash in the amount of $50,000
d. Bills submitted to insurance companies in the amount of $90,000 for services rendered to patients
e. Cash payments of $60,000 recieved for services previously provided and billed
f. $5,000 worth of additional supplies purchased on account.
12 years ago
999999.99
Answer(3)![blurred-text]()
![]()
![blurred-text]()
![]()
![blurred-text]()
![]()
Purchase the answer to view it

- feliixxx.docx
Purchase the answer to view it

NOT RATED
- journal_entries.xlsx
Purchase the answer to view it

NOT RATED
- journal_t-account_entries.xlsx
Bids(1)
other Questions(10)
- Unit4 - Discussion Board
- ACCOUNTING 206
- Stock Marketing
- WEB 240 Week 5
- Grammar HW
- Nike Contingent Claim and Timing Option
- meterology
- Someone who is familiar with plato and can finish it all with mastery on the mastery test!
- whole food Market: 2010 How to grow in an increasingly competitive market
- business plan