Please Answer Required#7, 8, 9 and 10 please. Thank you. Please
answer as soon as possible.
Required:
#1.
Prepare journal entries to record the December
transactions in the General Journal Tab in the excel template file
"Accounting Cycle Excel Template.xlsx". Use the following accounts
as appropriate: Cash, Accounts Receivable, Supplies, Prepaid
Insurance, Equipment, Accumulated Depreciation, Accounts Payable,
Wages Payable, Common Stock, Retained Earnings, Dividends, Service
Revenue, Depreciation Expense, Wages Expense, Supplies Expense,
Rent Expense, and Insurance Expense.
1-Dec
Began business...