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I need help with these adjustment entries as I have completed the others. It would be great if the others can be completed as well so I can check my work and other students have the opportunity as well. Thank you so much experts!Serial Problem Business Solutions LO P1, P2, P3, P4, P5 After the success of the companys first two months, Santana Rey cont14 Notified by Alexs Engineering Co. that Business Solutions bid of $7,000 on a proposed project has been accepted. Alexs pComplete this question by entering your answers in the tabs below. Req 1 Req 2A Req 2B Req3 Req 4 Req 5 Req 6 Req 7 Req 8 PosPrepaid Rent Debit Credit Office Equipment Debit Credit Date Dec. 01 Balance 3,300 Date Dec. 01 Balance 8,000 Accumulated DepDividends Debit Credit Computer Services Revenue Debit Credit Date Dec. 01 Balance 5,600 Date Dec. 01 Balance 25,659 DepreciaRent Expense Debit Credit Computer Supplies Expense Debit Credit Balance Balance Date Dec. 01 Date Dec. 01 Advertising Expens

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Part 1: Date Dec-02 General Journal Advertising expense Cash Debit Credit 1,025 1,025 Dec-03 500 Repairs expense-Computer Cas b. Part 2a: Transaction General Journal Debit Credit Computer supplies expense 3,065 Computer supplies 3,065 2545+1100-5801 IPart 2b: Cash Debit Credit Date Dec. 01 Dec. 04 Dec. 28 Accounts Receivable Debit Credit Balance 12,618 3,950 8668 3 ,000 566Dividends Debit Credit Balance 5,600 Date Dec. 01 Dec. 20 Dec. 31 Computer Services Revenue Date Debit Credit Balance Dec. 01Credit Debit 48,372 5,668 580 1,665 825 8,000 400 20,000 Part 3: BUSINESS SOLUTIONS Adjusted Trial Balance December 31, 2018Part 4: BUSINESS SOLUTIONS Income Statement For Three Months Ended December 31, 2018 Revenue Computer services revenue 31,284Debit Credit 31,284 31,284 16,824 825 Part 6: BUSINESS SOLUTIONS Balance Sheet December 31, 2018 Assets Cash 48,372 AccountsDebit Credit 48,372 5,668 580 Part 8: BUSINESS SOLUTIONS Post-Closing Trial Balance December 31, 2018 Account Title Cash Acco

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