Question: The following errors occurred in posting from a two-column journal: 1. A credit of $4,730 to Accounts Payable was not posted. 2. An entry debiting

The following errors occurred in posting from a two-column journal: 1. A credit of $4,730 to Accounts Payable was not posted. 2. An entry debiting Accounts Receivable and crediting Fees Earned for $9,700 was not posted. 3. A debit of $1,270 to Accounts Payable was posted as a credit. 4. A debit of $1,260 to Supplies was posted twice. 5. A debit of $1,860 to Cash was posted to Miscellaneous Expense. 6. A credit of $160 to Cash was posted as $610. 7. A debit of $4,720 to Wages Expense was posted as $4,270. Considering each case individually (i.e., assuming that no other errors had occurred): (a) Indicate by "yes" or "no" whether the trial balance would be out of balance. (b) If the answer to (a) is "yes", indicate the amount by which the trial balance totals would differ. (c) Indicate whether the debit or credit column of the trial balance would have the larger total
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