Which of the following errors, considered individually, would cause the trial balance totals to be unequal?
A) Cash received from a customer on account was posted as a credit of $220 to Cash and a debit of $220 to Accounts Receivable.
B) A payment of $76 for supplies was posted as a debit of $67 to Supplies Expense and a credit of $76 to Cash.
C) A payment of $391 to a creditor was posted as a debit of $931 to Accounts Payable and a credit of $931 to Cash.
D) A receipt of $252 from a customer was posted as a debit of $225 to Cash and a credit of $225 to Accounts Receivable.
E) A payment of $83 to pay the telephone bill (received last week) was posted as a debit of $38 to Accounts Payable and a credit of $38 to cash.
Correct Answer:
Verified
Q5: Which of the following errors will probably
Q6: When posting from the journal to the
Q8: _ furnish proof that a transaction has
Q9: The proof that the debits and credits
Q11: A _ is a book in which
Q15: Apple Company purchased $6,000 in equipment, paying
Q18: The process of subtotaling both sides of
Q21: Juan Company purchased $15,000 in equipment on
Q31: For a journal entry to be complete,
Q44: Which of the following is correct concerning
Unlock this Answer For Free Now!
View this answer and more for free by performing one of the following actions
Scan the QR code to install the App and get 2 free unlocks
Unlock quizzes for free by uploading documents