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Category > Accounting Posted 16 Aug 2017 My Price 13.00

Hasson Services’

Correcting errors in a Trial Balance

e12A. Hasson Services’ trial balance at the end of July 2014 follows. It does not balance because of a number of errors. Hasson’s accountant compared the amounts in the trial balance with the ledger, recomputed the account balances, and compared the postings. He found the following errors:

a.     The balance of Cash was understated by $400.

b.     A cash payment of $210 was credited to Cash for $120.

c.      A debit of $60 to Accounts Receivable was not posted.

d.     Supplies purchased for $30 were posted as a credit to Supplies.

e.      A debit of $90 to Prepaid Insurance was not posted.

f.      The Accounts Payable account had debits of $2,660 and credits of $4,590.

g.     The Notes Payable account, with a credit balance of $1,200, was not included on the trial balance.

h.     The debit balance of N. Hasson, Withdrawals was listed in the trial balance as a credit.

 

 

 

 

i     A $100 debit to N. Hasson, Withdrawals was posted as a credit.

j.  The actual balance of Utilities Expense, $130, was listed as $13 in the trial balance.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Hasson services Trial Balance July 31, 2014

 

 

Debits

 

Credits

Cash

 

1,720

 

 

Accounts Receivable

 

2,830

 

 

Supplies

 

60

 

 

Prepaid Insurance

 

90

 

 

Equipment Accounts Payable

 

3,700

 

 

2,270

N. Hasson, Capital

 

 

 

5,280

N. Hasson, Withdrawals

 

 

 

350

Revenues Salaries Expense

 

 

1,300

 

2,960

Rent Expense

 

300

 

 

Advertising Expense

 

170

 

 

Utilities Expense

 

13

 

 

 

 

10,183

 

10,860

 

 

Prepare a corrected trial balance.

Answers

(5)
Status NEW Posted 16 Aug 2017 11:08 PM My Price 13.00

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