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Please help This last photo is the answer options to parts a-c for the picture before

Please help
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media%2F37d%2F37d44340-b82f-42f2-8ff4-ed
media%2F632%2F632c4d46-057d-4dbc-a2b3-45
media%2F27d%2F27d6c5df-6600-41aa-adca-a4
media%2F10c%2F10ca9dde-a740-487f-ab7c-4c
media%2F376%2F37644c2f-23bf-43e4-b710-53This last photo is the answer options to parts a-c for the picture before
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Answer #1
Date Particulars L.F Debit Credit
a Sep-30 Office Supplies 24,150
Cash 4,800
Accounts Payable 19,350
(To office supplies purchased)
b Date Particulars L.F Debit Credit
Aug-13 Cash 51,200
Service Revenue 51,200
(To Service provided)
c Date Particulars L.F Debit Credit
Jun-30 Dawn Pierce Withdrawal 14,000
Cash 14,000
(To cash withdrawn for personal use)
d Jul-01 Opening cash 24,810
Less: Cash payments 142,880
Add: cash Receipts ?
Jul-31 Closing Balance 36,520
So, cash receipts is 154,590
36,520-24,810+142,880
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