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Problem 3-04 The trial balance of Whispering Fashion Center contained the following accounts at November 30, the end of the cMaintenance and Repairs Expense Delivery Expense Rent Expense Totals 12,100 16,700 25,150 $1,001,950 $1,001,950 Adjustment daJournalize the adjusting entries. (Credit account titles are automatically indented when amount is entered. Do not indent manTotalPrepare a multiple-step income statement for the year. (ignore income taxes) (Enter loss using either a negative sign precediCALCU $ ministrative expensesPrepare retained earnings statement for the year. WHISPERING FASHION CENTER Retained Earnings Statement $ SHOW LIST OF ACCOUNPrepare a classified balance sheet as of November 30, 2020. (List current assets in order of liquidity.) WHISPERING FASHION CCALCULATOR PRINTER VERSION Liabilities and Stockholders Equityurnalize the closing entries. (Credit account titles are automatically indented when amount is entered. Do not indent manuall(To close accounts with debit balances.) Nov. 30 (To close net income / (loss).) SHOW LIST OF ACCOUNTS LINK TO TEXT LINK TO TPrepare a post-closing trial balance. WHISPERING FASHION CENTER Post-Closing Trial Balance Debit Credit

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No. Date Credit ($) Journal Account Titles and Explanation 30-Nov Supplies expense (8800-4800) Supplies (To record the suppli

Credits WHISPERING FASHION CENTER Adjusted Trial Balance As on November 30, 2020 Account Title Debits Cash 33,150 Accounts re764,950 4,200 495,400 265,350 WHISPERING FASHION CENTER Multi-Step Income Statement For the Year Ended November 30, 2020 SaleWHISPERING FASHION CENTER Retained Earnings Statement For the Year Ended November 30, 2020 Retained Earnings 11,300 Beginning33,150 37,000 48,300 4,800 123,250 WHISPERING FASHION CENTER Balance Sheet For the Year Ended November 30, 2020 Assets Curren

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