Below is the trial balance of Matilde Gascon Repair Service, which does not balance. Gascon Repair Service Trial Balance Jan. 31, 2019 P 110,400 284,600 66,400 40,000 526,800 Cash Accounts Receivable Supplies Prepaid Insurance Office Equipment Notes Payable Accounts Payable Gascon, Capital Gascon, Withdrawals Repair Revenues Salaries Expense Advertising Expense Totals P 130,000 195,400 297,200 100,000 821,400 348,700 12,200 P1,389,100 P1,544,000 The following information is obtained from a review of the record keeping process. a. An account receivable for P19,600 was incorrectly added as P 16,900 when computing the balance of the Accounts Receivable account. b. A debit posting from the journal for P5,200 is missing from the Advertising Expense account. c. A credit posting of P15,000 to Notes Payable should have been made to Accounts payable. d. A debit posting of P34,000 to Supplies was incorrectly posted as P3,400. e. Credits to the ledger Accounts Payable account were under-footed by P60,000. f. Revenues are overstated in the ledger account by P40,000. g. A credit posting for Repair Revenues from the journal in the amount of P63,600 is missing. h. Supplies acquired in the amount of P17,400 have been incorrectly posted to the Office Equipment account. Required: Prepare a corrected trial balance.

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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ACTIVITY NO. 6
YR.&SEC.
DATE
NAME:
COURSE:
Below is the trial balance of Matilde Gascon Repair Service, which does not balance.
Gascon Repair Service
Trial Balance
Jan. 31, 2019
P 110,400
284,600
66,400
40,000
526,800
Cash
Accounts Receivable
Supplies
Prepaid Insurance
Office Equipment
Notes Payable
Accounts Payable
Gascon, Capital
Gascon, Withdrawals
Repair Revenues
Salaries Expense
Advertising Expense
Totals
P 130,000
195,400
297,200
100,000
821,400
348,700
12,200
P1,389,100
P1,544,000
The following information is obtained from a review of the record keeping process
a. An account receivable for P19,600 was incorrectly added as P 16,900 when computing the balance of
the Accounts Receivable account.
b. A debit posting from the journal for P5,200 is missing from the Advertising Expense account.
c. A credit posting of P15,000 to Notes Payable should have been made to Accounts payable
d. A debit posting of P34,000 to Supplies was incorrectly posted as P3,400.
e. Credits to the ledger Accounts Payable account were under-footed by P60,000.
f. Revenues are overstated in the ledger account by P40,000
g. A credit posting for Repair Revenues from the journal in the amount of P63,600 is missing.
h. Supplies acquired in the amount of P17,400 have been incorrectly posted to the Office Equipment
account.
Required: Prepare a corrected trial balance.
Transcribed Image Text:ACTIVITY NO. 6 YR.&SEC. DATE NAME: COURSE: Below is the trial balance of Matilde Gascon Repair Service, which does not balance. Gascon Repair Service Trial Balance Jan. 31, 2019 P 110,400 284,600 66,400 40,000 526,800 Cash Accounts Receivable Supplies Prepaid Insurance Office Equipment Notes Payable Accounts Payable Gascon, Capital Gascon, Withdrawals Repair Revenues Salaries Expense Advertising Expense Totals P 130,000 195,400 297,200 100,000 821,400 348,700 12,200 P1,389,100 P1,544,000 The following information is obtained from a review of the record keeping process a. An account receivable for P19,600 was incorrectly added as P 16,900 when computing the balance of the Accounts Receivable account. b. A debit posting from the journal for P5,200 is missing from the Advertising Expense account. c. A credit posting of P15,000 to Notes Payable should have been made to Accounts payable d. A debit posting of P34,000 to Supplies was incorrectly posted as P3,400. e. Credits to the ledger Accounts Payable account were under-footed by P60,000. f. Revenues are overstated in the ledger account by P40,000 g. A credit posting for Repair Revenues from the journal in the amount of P63,600 is missing. h. Supplies acquired in the amount of P17,400 have been incorrectly posted to the Office Equipment account. Required: Prepare a corrected trial balance.
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