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Morrison Services Ltd. Adjusted Trial Balance July 31, 2018 Debit Credit Cash $7,490 Accounts receivable 19,875 Supplies 3,46
Income tax payable 1,450 Unearned revenue 510 Bank loan payable, due 2021 24,500 Common shares 4,870 Retained earnings 5,250
Part 2 Prepare a post-closing trial balance. Morrison Services Ltd. Post-Closing Trial Balance July 31, 2018 Debit Credit Mac
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Morrison Services Ltd. Post Closing Trial Balance July 31, 2018 Debit Credit Cash $7,490 Accounts receivable $19,875 Supplies

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