August 31, 2024 Balance Account Title Debit Credit Cash 8,420 Accounts Receivable 5,000 Office Supplies 1,200 Prepaid Insurance 1,400 Equipment 88,000 Accounts Payable $ 2,600 Notes Payable 47,000 Tarrago, Capital 52,300 Tarrago, Withdrawals 3,880 Service Revenue 11,800 Salaries Expense 3,800 1,100 Rent Expense 112,800 $ 113,700 Total %24 %24

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
Problem 1Q
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The trial balance of Building Blocks Child Care does not balance. Prepare the corrected trial balance as of August 31,2024. Journal entries not required.

Trial balance
August 31, 2024
Balance
Account Title
Debit
Credit
Cash
8,420
Accounts Receivable
5,000
Office Supplies
1,200
Prepaid Insurance
1,400
Equipment
88,000
Accounts Payable
2,600
Notes Payable
47,000
Tarrago, Capital
52,300
Tarrago, Withdrawals
3,880
Service Revenue
11,800
Salaries Expense
3,800
1,100
Rent Expense
$
112,800 $
113,700
Total
Print
Done
Transcribed Image Text:Trial balance August 31, 2024 Balance Account Title Debit Credit Cash 8,420 Accounts Receivable 5,000 Office Supplies 1,200 Prepaid Insurance 1,400 Equipment 88,000 Accounts Payable 2,600 Notes Payable 47,000 Tarrago, Capital 52,300 Tarrago, Withdrawals 3,880 Service Revenue 11,800 Salaries Expense 3,800 1,100 Rent Expense $ 112,800 $ 113,700 Total Print Done
Errors
а.
Cash is understated by $1,300.
A $4,900 debit to Accounts Receivable was posted as a credit.
A$1,300 purchase of office supplies on account was neither journalized nor posted.
Equipment was incorrectly transferred from the ledger as $88,000. It should have been
transferred as $80,500.
b.
С.
d.
е.
Salaries Expense is overstated by $300.
f.
A $400 cash payment for advertising expense was neither journalized nor posted.
g. A$120 owner's withdrawal of cash was incorrectly journalized as $1,200.
h.
Service Revenue was understated by $4,400.
A 12-month insurance policy was posted as a $1,000 credit to Prepaid Insurance. Cash
was posted correctly.
i.
Print
Done
Transcribed Image Text:Errors а. Cash is understated by $1,300. A $4,900 debit to Accounts Receivable was posted as a credit. A$1,300 purchase of office supplies on account was neither journalized nor posted. Equipment was incorrectly transferred from the ledger as $88,000. It should have been transferred as $80,500. b. С. d. е. Salaries Expense is overstated by $300. f. A $400 cash payment for advertising expense was neither journalized nor posted. g. A$120 owner's withdrawal of cash was incorrectly journalized as $1,200. h. Service Revenue was understated by $4,400. A 12-month insurance policy was posted as a $1,000 credit to Prepaid Insurance. Cash was posted correctly. i. Print Done
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