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Question
- a $375 purchase of supplies on account was recorded by debiting supplies for $375 and crediting cash for $375. what is the journal entry needed to correct this error?
Step1: Analyze the error
The purchase was on - account but cash was credited instead of accounts payable.
Step2: Determine the correcting entry
We need to reverse the incorrect credit to cash and credit accounts payable.
Debit Cash $375
Credit Accounts Payable $375
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Debit: Cash $375
Credit: Accounts Payable $375