the accounting records of grayson architects include the following selected unadjusted balances at march 31 accounts receivable 1400 office supplies

Requirements
1. Open a T-account for each account using the unadjusted balances given.
2. Journalize the adjusting entries using the letter and March 31 date in the date column.
3. Post the adjustments to the T-accounts, entering each adjustment by letter. Show each account’s adjusted balance.