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After Picard Company Had Completed All Posting for the Month  Name  Ryker’s  Address  286 Buck Avenue \begin{array}{ll}\text { Name } & \text { Ryker's } \\\text { Address } & \text { 286 Buck Avenue }\end{array}

Question 120

Essay

After Picard Company had completed all posting for the month of December the sum of the balances in the following accounts payable subsidiary ledger did not agree with the balance of the control account in the general ledger.  Name  Ryker’s  Address  286 Buck Avenue \begin{array}{ll}\text { Name } & \text { Ryker's } \\\text { Address } & \text { 286 Buck Avenue }\end{array}

 Date Item  Post. Ref.  Debit  Credit  Balance  Dec. 2P252,4002,400\begin{array}{lccccc}\hline \text { Date} & \text { Item } & \text { Post. Ref. } & \text { Debit } & \text { Credit } & \text { Balance } \\\hline \text { Dec. } 2 && \mathrm{P} 25 & & 2,400 & 2,400 \\\end{array}

 Name  Geordie Company  Address  818 Western Avenue \begin{array}{ll}\text { Name } & \text { Geordie Company } \\\text { Address } & \text { 818 Western Avenue }\end{array}

 Date  Item  Post. Ref.  Debit  Credit  Balance  Dec. 1 Balance 7,60010CP237,60020 P32 3,3003,30029J158004,100\begin{array}{lccccc}\hline \text { Date } & \text { Item } & \text { Post. Ref. } & \text { Debit } & \text { Credit } & \text { Balance } \\\hline \text { Dec. } 1 & \text { Balance } & & & & 7,600 \\ 10 & & \mathrm{CP} 23 & 7,600 & & - \\ 20 & & \text { P32 } & & 3,300 & 3,300 \\ 29 & & J 15 & 800 & & 4,100 \\\end{array}
 After Picard Company had completed all posting for the month of December the sum of the balances in the following accounts payable subsidiary ledger did not agree with the balance of the control account in the general ledger.  \begin{array}{ll} \text { Name } & \text { Ryker's } \\ \text { Address } & \text { 286 Buck Avenue } \end{array}    \begin{array}{lccccc} \hline \text { Date} & \text { Item } & \text { Post. Ref. } & \text { Debit } & \text { Credit } & \text { Balance } \\ \hline \text { Dec. } 2 && \mathrm{P} 25 & & 2,400 & 2,400 \\  \end{array}    \begin{array}{ll} \text { Name } & \text { Geordie Company } \\ \text { Address } & \text { 818 Western Avenue } \end{array}    \begin{array}{lccccc} \hline \text { Date } & \text { Item } & \text { Post. Ref. } & \text { Debit } & \text { Credit } & \text { Balance } \\ \hline \text { Dec. } 1 & \text { Balance } & & & & 7,600 \\  10 & & \mathrm{CP} 23 & 7,600 & & - \\  20 & & \text { P32 } & & 3,300 & 3,300 \\  29 & & J 15 & 800 & & 4,100 \\  \end{array}     The balance in the Accounts Payable control account of $36580 has been verified as correct. Also assume that the journals references in the Post Ref. columns of the accounts payable subsidiary ledger have been verified as correct. Instructions Determine the errors in the preceding accounts payable subsidiary accounts and prepare a corrected schedule of accounts payable. The balance in the Accounts Payable control account of $36580 has been verified as correct. Also assume that the journals references in the Post Ref. columns of the accounts payable subsidiary ledger have been verified as correct.
Instructions
Determine the errors in the preceding accounts payable subsidiary accounts and prepare a corrected schedule of accounts payable.

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IDENTIFICATION OF ERRORS:
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