Business
1. Which of the following is INCORRECT?AssetsLiabilitiesCapital$$$i.18,2709,34015,16012,2305,2903,1206,3801,39012,9806,2207,78010,840111.iv.
Alicia Tax Services paid $690 to settle an account payable. Which of the following general journal entries will Alicia Tax Services make to record this transaction? Multiple Choice Debit Office supplies expense, $690; credit Cash, $690. Debit Cash, $690; credit Office supplies, $690. Debit Office supplies, $690; credit Cash, $690. Debit Office supplies, $690; credit Accounts payable, $690. Debit Accounts payable, $690; credit Cash, $690