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As of December 31st, the trial balance shows Supplies with a balance of $1,875. A physical count was performed which revealed $875 of supplies were on hand at December 31st. The adjusting entry is - Supplies $875 Supplies Expense $875 -Supplies Expense $875 Supplies $875 -Supplies $1,000 Supplies Expense $1,000-Supplies Expense 1,000 Supplies 1,000
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