Kevin5286
Sep 18, 2006, 09:12 AM
Dear AskMeHelpDesk Community !
This is my first post ever since I found this site is so helpful for everything which I concern. Thanks for everyone who has been contributing to this community.
Actually I can do most of my accounting homeworks, I can do the journal, ledger, prepare the trial balance, income statement... But I found myself difficulty when every time I attempt to correct an unbalance Trial Balance. It makes me confuse somehow, I knows I am getting there, but it's like I don't know where I am wrong.
And here is the problem, I appreciate for any helps or advice, you don;'t have to reply the whole thing, just let me know what I have to do.
The trial balance of Ron Salem Co, shown below does not balance
http://www.vietstream.com/images/private/scan0001.jpg
So what I know is Cash should be on Debit side, Unearned Revenue should be on Credit side.
Each of the listed accounts has a normal balance per the general ledger. An Examination of the ledger and journal reveals the following errors:
1/ Cash received from a customer in payment of its account was debit for 570, and accounts Receivable was credit for the same amount. The actual collection was for 750
--> So I know we should debit 750 to Cash instead of 570 and credit to Accounts Receivable 750 instead of 570. Is it rite, if yes, what should I do next?
2/ The purchase of a typewriter on account for 340 was record as a debit to Supplies for 340 and a credit to Accounts Payable for 340
--> So I should correct it to Debit to Equipments 340 and Credit to Accounts Payable for 340, what should I do next?
3/ Services were performed on account for a client for 890. Accounts Receivable was debited for 890 and Service Revenue was credited for 89
--> Service Revenue should be credited for 890, the difference is 801$, what happen now, what can I do with this number?
4/ A debit posting to Salaries Expense of 367 was omitted.
--> So I have to add up 367$ to Salaries Expense account, rite?
5/ A payment of a balance due for 309 was credit to cash for 309 and credit to Accounts Payable for 390.
--> It should be Credited to Cash for 309 and Debited to Account Payable for 309, what should I do now?
6/ The withdrawal of 500 cash for Salem Personal use was debit to Salaries Expense for 500 cash and credit to cash for 500.
--> It should be debited to Salem Drawing for 500 and credited to Cash for 500, rite ?
So what is the correct Trial Balance? Can anyone help me? I really appreciate for any helps.
Thanks in advance.
This is my first post ever since I found this site is so helpful for everything which I concern. Thanks for everyone who has been contributing to this community.
Actually I can do most of my accounting homeworks, I can do the journal, ledger, prepare the trial balance, income statement... But I found myself difficulty when every time I attempt to correct an unbalance Trial Balance. It makes me confuse somehow, I knows I am getting there, but it's like I don't know where I am wrong.
And here is the problem, I appreciate for any helps or advice, you don;'t have to reply the whole thing, just let me know what I have to do.
The trial balance of Ron Salem Co, shown below does not balance
http://www.vietstream.com/images/private/scan0001.jpg
So what I know is Cash should be on Debit side, Unearned Revenue should be on Credit side.
Each of the listed accounts has a normal balance per the general ledger. An Examination of the ledger and journal reveals the following errors:
1/ Cash received from a customer in payment of its account was debit for 570, and accounts Receivable was credit for the same amount. The actual collection was for 750
--> So I know we should debit 750 to Cash instead of 570 and credit to Accounts Receivable 750 instead of 570. Is it rite, if yes, what should I do next?
2/ The purchase of a typewriter on account for 340 was record as a debit to Supplies for 340 and a credit to Accounts Payable for 340
--> So I should correct it to Debit to Equipments 340 and Credit to Accounts Payable for 340, what should I do next?
3/ Services were performed on account for a client for 890. Accounts Receivable was debited for 890 and Service Revenue was credited for 89
--> Service Revenue should be credited for 890, the difference is 801$, what happen now, what can I do with this number?
4/ A debit posting to Salaries Expense of 367 was omitted.
--> So I have to add up 367$ to Salaries Expense account, rite?
5/ A payment of a balance due for 309 was credit to cash for 309 and credit to Accounts Payable for 390.
--> It should be Credited to Cash for 309 and Debited to Account Payable for 309, what should I do now?
6/ The withdrawal of 500 cash for Salem Personal use was debit to Salaries Expense for 500 cash and credit to cash for 500.
--> It should be debited to Salem Drawing for 500 and credited to Cash for 500, rite ?
So what is the correct Trial Balance? Can anyone help me? I really appreciate for any helps.
Thanks in advance.