The Unadjusted Trial Balance columns of a company's work sheet shows the Store Supplies account with a balance of $565. The Adjustments columns shows a credit of $315 for supplies used during the period. The amount shown as Store Supplies in the Balance Sheet columns of the work sheet is:

A. $565 debit.
B. $250 credit.
C. $315 debit.
D. $565 credit.
E. $250 debit.


Answer: E

Business

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