Project Summary: II am needing step 4 (T account) Step 6 Adjusting entries, Step 8 (All Three) Step 9 (Closing Entries) Step 10 (Post closing Trial Balance) Step 11 (Reversing Entries) in the work book completed and Tabs that say Steps 1, 2, 3, 5 & 7 need to be reviewed and adjusted as needed I am completely overwhelmed right now and need the help. Please do not contact me if you do not know about accounting. Please take time to look at workbook before bidding