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The Accounts with Identification Letters for Sealy Delivery Services Are

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The accounts with identification letters for Sealy Delivery Services are listed below.
 The accounts with identification letters for Sealy Delivery Services are listed below.    \begin{array} { l | l | l | l }  \hline \mathrm { F } & \text { Office Equipment } & \mathrm { N } & \text { Salaries Expense } \\ \hline \mathrm { G } & \text { Accounts Payable } & \mathrm { O } & \text { Utilities Expense } \\ \hline \mathrm { H } & \text { Sealy, Capital } & & \\ \hline \end{array}  During the current month, the company completed the transactions listed below. Indicate the appropriate journal entry that needs to be recorded for each transaction by providing the account letter and amount. Some entries may need more than one debit and/or more than one credit. The first transaction is completed as an example.
F Office Equipment N Salaries Expense G Accounts Payable O Utilities Expense H Sealy, Capital \begin{array} { l | l | l | l } \hline \mathrm { F } & \text { Office Equipment } & \mathrm { N } & \text { Salaries Expense } \\\hline \mathrm { G } & \text { Accounts Payable } & \mathrm { O } & \text { Utilities Expense } \\\hline \mathrm { H } & \text { Sealy, Capital } & & \\\hline\end{array}
During the current month, the company completed the transactions listed below. Indicate the appropriate journal entry that needs to be recorded for each transaction by providing the account letter and amount. Some entries may need more than one debit and/or more than one credit. The first transaction is completed as an example.
 The accounts with identification letters for Sealy Delivery Services are listed below.    \begin{array} { l | l | l | l }  \hline \mathrm { F } & \text { Office Equipment } & \mathrm { N } & \text { Salaries Expense } \\ \hline \mathrm { G } & \text { Accounts Payable } & \mathrm { O } & \text { Utilities Expense } \\ \hline \mathrm { H } & \text { Sealy, Capital } & & \\ \hline \end{array}  During the current month, the company completed the transactions listed below. Indicate the appropriate journal entry that needs to be recorded for each transaction by providing the account letter and amount. Some entries may need more than one debit and/or more than one credit. The first transaction is completed as an example.


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