Maurice Tutor

(5)

$15/per page/Negotiable

About Maurice Tutor

Levels Tought:
Elementary,Middle School,High School,College,University,PHD

Expertise:
Algebra,Applied Sciences See all
Algebra,Applied Sciences,Biology,Calculus,Chemistry,Economics,English,Essay writing,Geography,Geology,Health & Medical,Physics,Science Hide all
Teaching Since: May 2017
Last Sign in: 402 Weeks Ago, 6 Days Ago
Questions Answered: 66690
Tutorials Posted: 66688

Education

  • MCS,PHD
    Argosy University/ Phoniex University/
    Nov-2005 - Oct-2011

Experience

  • Professor
    Phoniex University
    Oct-2001 - Nov-2016

Category > Accounting Posted 26 Sep 2017 My Price 9.00

Elite Video

PR 2-6B Corrected trial balance

Elite Video has the following unadjusted trial balance as of October 31, 2012.

Elite Video

   

Unadjusted Trial Balance

   

October 31, 2012

   
 

Debit

Credit

 

Balances

Balances

Cash

11,100

 

Accounts Receivable

17,560

 

Supplies

2,520

 

Prepaid Insurance

1,840

Equipment

64,800

 

Notes Payable

31,600

Accounts Payable

 

6,160

Aimee Desanti, Capital

 

39,140

Aimee Desanti, Drawing

11,600

Fees Earned

 

213,600

Wages Expense

122,400

Rent Expense

25,020

 

Advertising Expense

13,140

 

Gas, Electricity, and Water Expense

6,800

 
 

276,780

290,500

The debit and credit totals are not equal as a result of the following errors:

a. The balance of cash was overstated by $7,500.

b. A cash receipt of $7,200 was posted as a debit to Cash of $2,700.

c. A debit of $5,000 to Accounts Receivable was not posted.

d. A return of $350 of defective supplies was erroneously posted as a $530 credit to Supplies.

e. An insurance policy acquired at a cost of $1,000 was posted as a credit to Prepaid Insurance.

f. The balance of Notes Payable was overstated by $10,000.

g. A credit of $500 in Accounts Payable was overlooked when the balance of the account was determined.

h. A debit of $4,000 for a withdrawal by the owner was posted as a debit to Aimee Desanti, Capital.

i. The balance of $11,340 in Advertising Expense was entered as $13,140 in the trial balance.

j. Miscellaneous Expense, with a balance of $1,840, was omitted from the trial balance. Instructions

1. Prepare a corrected unadjusted trial balance as of October 31 of the current year.

2. Does the fact that the unadjusted trial balance in (1) is balanced mean that there are no errors in the accounts? Explain.

Answers

(5)
Status NEW Posted 26 Sep 2017 02:09 PM My Price 9.00

Hel-----------lo -----------Sir-----------/Ma-----------dam-----------Tha-----------nk -----------You----------- fo-----------r u-----------sin-----------g o-----------ur -----------web-----------sit-----------e a-----------nd -----------and----------- ac-----------qui-----------sit-----------ion----------- of----------- my----------- po-----------ste-----------d s-----------olu-----------tio-----------n.P-----------lea-----------se -----------pin-----------g m-----------e o-----------n c-----------hat----------- I -----------am -----------onl-----------ine----------- or----------- in-----------box----------- me----------- a -----------mes-----------sag-----------e I----------- wi-----------ll

Not Rated(0)