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Need help answering two accounting questions. PLEASE HELP will give medal
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After you made the adjusting entry, what is the balance of the Supplies account? A. $542.92 debit balance C. $342.92 credit balance B. $342.92 debit balance D. $200 credit balance
What is the balance of the Prepaid Insurance account after you made the adjusting entry? A. $600 debit balance C. $400 credit balance B. $600 credit balance D. $400 debit balance
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