If Bojana Tax Services' office supplies account balance on March 1 was $1,750, the company purchased $500 of supplies during the month, and a physical count of supplies on hand at the end of March indicated $1,350 unused, what is the amount of the adjusting entry for office supplies on March 31?

Respuesta :

Answer:

The adjusting entry which is to be recorded or passed is shown below:

Explanation:

The adjusting entry which is to be passed for the office supplies on March 31, is as follows:

Supplies expense A/c......................Dr   $900

       Supplies A/c....................................Cr   $900

The accounts of supplies expense is debited against the supplies account which is credited.

Supplies used during the year = Beginning office supplies + Purchases during the month - Ending supplies in hand

= $1,750 + $500 - $1,350

= $2,250 - $1,350

= $900