A. For each of the following errors:
(a) indicate whether the error would cause the trial balance to have unequal totals
(b) determine the amount by which the trial balance totals would differ
(c) determine whether the error would cause the debit total or the credit total to be larger. Ignore GST.
1. A $280 credit to Service Revenue was not posted.
2. Receipt of a payment on account from a customer was recorded as a debit to Cash at Bank for $125 and a credit to for $125.
3. A purchase of supplies for $57 was recorded as a debit to Supplies for $57 and a credit to for $75.
4. A $33 debit to Cash at Bank was posted as a credit.
5. A $250 debit to the Drawings account was debited to the Capital account.
6. A $520 debit to Rent Expense was posted as a $52 debit.
B. How would each error be corrected? Give the correcting journal entry where appropriate.
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