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Business, 12.10.2021 09:00 napoleonbrown

Journalize the following for the month of April Apr. 3. Received cash from clients as advance payments for services to be provided, $4,500 (Unearned Fees).

5. Received cash from clients on account, $10,500.

8. Paid cash for a water bill for $600.

10. Paid Office Depot on account, $2,500.

15. Recorded services provided on account for the period of April 1-15, $10,500.

15. Paid receptionist/bookkeeper a semi-monthly salary of $3,000.

15. Recorded cash from cash clients for fees earned during the period of April 1-15, $7,500.

16. Purchased office supplies on account, $2,300.

20. Paid telephone bill, $1,060.

21. Paid electricity bill, $850.

25. Recorded cash received from clients on account, $6,200.

30. Paid receptionist/bookkeeper a semi-monthly salary of $3,000.

30. Recorded cash from cash clients for fees earned for the period April 16-30, $9,600.

30. Recorded services on account for April 16-30, $10,600.

30. John withdrew $10,000 for personal use.

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