The trial balance of Mis-Match Inc. on June 30, 2014, is as follows: The following transactions took

The trial balance of Mis-Match Inc. on June 30, 2014, is as follows: The following transactions took place in July 2014: The following transactions took place in July 2014: 1. Payments received from customers on account amounted to $ 1,320. 2. A computer printer was purchased on account for $500. 3. Services provided to clients and billed on account amounted to $3,890. 4. $400 of supplies was purchased on account in July, and a physical count on July 31 showed that there was S475 of supplies on hand on July 31. 5. When the Unearned Revenue account was reviewed, it was found that $825 of the balance was earned in July. 6. Salaries and Wages Expense of $670 related to employee services provided in July was not yet recorded as of July31. 7. Payments to suppliers on account amounted to S2, 125. 8. Received invoices totalling $1,160 related to office expenses incurred in July. 9. Declared a dividend ofS575 on July 31. Inst ructions Prepare the trial balance as at July 31, 2014, assuming that Mis-Match did not record closing entries at the end of June 2014.

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