Ask Experts Questions for FREE Help !
Ask
    Insuperable's Avatar
    Insuperable Posts: 2, Reputation: 1
    New Member
     
    #1

    Oct 12, 2011, 07:54 PM
    Prepare a correct trial balance
    Cash - Dr 2600
    Accounts Receivable - Dr 7600
    Supplies - Dr 600
    Equipment - Dr 8300
    Accounts Payable - Cr 9766
    Common Stock - Cr 1941
    Dividends - Dr 1500
    Service Revenue - Cr 15200
    Salaries and Wages Expense - Dr 3800
    Maintenance/Repairs Expense - Dr 1600
    Totals: Dr $26000 Cr $26907
    1. Each of the above listed accounts has a normal balance per the general ledger.
    2. Cash of $350 received from a customer on account was debited to cash $530 and a credit to cash $300.
    3. Dividends of $300 paid to stockholders were posted as a credit to dividends, $300, and a credit to cash $300
    4. Wages Expense of $300 was omitted from the trial balance.
    5. The purchase of equipment on account for $700 was recorded as a debit to Repair Expense and a credit to Accounts Payable for $700.
    6. Services were performed on account for a customer, $510, for which Accounts Receivable was debited $510 and Service Revenue was credited $51.
    7. A payment on account for $215 was credited to Cash for $215 and credited to Accounts Payable for $251.

Check out some similar questions!

Prepare a correct trial balance [ 15 Answers ]

WANDA LANDOESKA COMPANY TRIAL BALANCE APRIL 30, 2007 Cash (Dr) 4,800 Accounts Receivable (Dr) 2,570 Prepaid Insurance (Dr)700 Equipment (Cr) 8,000 Accounts Payable (Cr) 4,500 Property Tax Payable (Dr)560

Prepare a Correct Trial Balance. [ 4 Answers ]

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...

Calculate the correct balance for cash and prepare a trial balance? [ 1 Answers ]

The balances for the accounts of Mike's maintenance co. for the year ended December 31 are shown below. Each account shown had a normal balance. Accounts payable $6,500 Accounts receivable 7,000 Cash ? Maintenance supplies 1,200 Building 125,000 Supplies expense 21,500 Mike capital...

Prepare a correct trial balance of te Garland Company, May 31, 2006 [ 1 Answers ]

1.the totals of the debit sides of prepaid insurance, accounts payable, property tax expense were each understated "$100." 2.transposition errors were made in accounts receivable and service revenue. Based on posting errors, the correct balances were $2570 and $8960 respectively. 3.a debit...


View more questions Search
 

Question Tools Search this Question
Search this Question:

Advanced Search

Add your answer here.