The journalized transactions make sure they are all correct


This might be a little difficult for someone to do. I just really would like to know how to do this. The attached in the Journalized Transactions (which I have already filled in), the T-Account Ledger and the Trial balance. The task is to look over the Journalized Transactions make sure they are all correct and then fill in the T-account ledger and then create a trial balance.

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Accounting Basics: The journalized transactions make sure they are all correct
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