Prior to recording adjusting entries,the Supplies account has a $450 debit balance.A physical count of supplies shows $125 of unused supplies still available.The required adjusting entry is:
选项:
A:Debit Supplies $125;Credit Supplies Expense $12.
B:Debit Supplies $325;Credit Supplies Expense $325.
C:Debit Supplies Expense $325;Credit Supplies $325.
D:Debit Supplies Expense $325;Credit Supplies $125.
发布时间:2024-03-28 10:56:12