physical count of supplies on hand at the end of May for Masters, Inc. indicated $1,249 of supplies on hand. The general ledger balance before any adjustment is $2,090. What is the adjusting entry for office supplies that should be recorded on May 31? Multiple Choice Debit Prepaid Supplies $841 and credit Supplies Expense $841. Debit Supplies Expense $2.090 and credit Supplies $2,090. Debit Supplies Expense $841 and credit Supplies $841. Nahit Sunnliae Evnenco 1 240 and credit Sunnliee 149 < Prev 6 of 10 E Next > nere to search

FINANCIAL ACCOUNTING
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Chapter1: Financial Statements And Business Decisions
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A physical count of supplies on hand at the end of May for Masters, Inc. indicated $1,249 of supplies on hand. The general ledger balance before
any adjustment is $2,090. What is the adjusting entry for office supplies that should be recorded on May 31?
Multiple Choice
Debit Prepaid Supplies $841 and credit Supplies Expense $841.
Debit Supplies Expense $2,090 and credit Supplies $2,090.
Debit Supplies Expense $841 and credit Supplies $841.
Dehit Sunnlies Evneonce 1 24a and credit Sunnliee 1 249
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Transcribed Image Text:A physical count of supplies on hand at the end of May for Masters, Inc. indicated $1,249 of supplies on hand. The general ledger balance before any adjustment is $2,090. What is the adjusting entry for office supplies that should be recorded on May 31? Multiple Choice Debit Prepaid Supplies $841 and credit Supplies Expense $841. Debit Supplies Expense $2,090 and credit Supplies $2,090. Debit Supplies Expense $841 and credit Supplies $841. Dehit Sunnlies Evneonce 1 24a and credit Sunnliee 1 249 < Prev 6 of 10 Next > 9:37 PM pe here to search W P 99% 2/21/2022 曲 9
Debit Prepaid Supplies $841 and credit Supplies Expense $841.
Debit Supplies Expense $2,090 and credit Supplies $2,090.
Debit Supplies Expense $841 and credit Supplies $841.
Debit Supplies Expense $1,249 and credit Supplies $1,249.
Debit Supplies $1,249 and credit Cash $1,249.
Transcribed Image Text:Debit Prepaid Supplies $841 and credit Supplies Expense $841. Debit Supplies Expense $2,090 and credit Supplies $2,090. Debit Supplies Expense $841 and credit Supplies $841. Debit Supplies Expense $1,249 and credit Supplies $1,249. Debit Supplies $1,249 and credit Cash $1,249.
Expert Solution
Step 1

Physical count of Supplies= $1,249

Balance of General ledger = $2,090 

Difference= $2,090-$1,249 = $841 

 

Balance of general ledger is$ 2,090 and physical count value is 1,249 it means we have to pass the adjusting entry which will reduce the general ledger balance by $841.

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