Kate Brown recorded the following transactions in a general journal during the month of March.
Mar. 4
|
Cash
|
2,280
|
|
|
Service Revenue
|
|
2,280
|
15
|
Wages Expense
|
400
|
|
|
Cash
|
|
400
|
19
|
Utilities Expense
|
92
|
|
|
Cash
|
|
92
|
Post these entries to the Cash account of the general ledger to determine the ending balance in cash. The beginning balance of cash on March 1 was $600.