hris,Capital 18,600.0 hris, Withdrawa;s 2,000.00 lotel Service Revenue 6,500.00 alary Expense 1,600.00 ent Expense 1,000.00 dvertising Expense 500.00 tilties Expense 300.00 roperty Tax Expense 100.00 otal The following error were detected: 47,000.00 43,100.0 The CAsh balance is overstated by P300, Property tax expense of P500 was mitted from the trial balance. The land should be listed in the amount I P23000. LA P200 purchased of supplies on ccount was neither journalized nor osted. A P2,800 credit to Hotel Service Revenue was not posted. Rent Expense of P200 was posted as a

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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DR
CR
Cash
2,000.00
Accounts Receivable
10,000.00
Supplies
900.00
office Furniture
3,600.00
Land
25,000.00
Accounts Payable
4,000.00
Noten Payable
14,000.0
Chris,Capital
18,600.0
Chris, Withdrawa;s
2,000.00
Hotel Service Revenue
6,500.00
Salary Expense
1,600.00
Rent Expense
1,000.00
Advertising Expense
500.00
Utilities Expense
300.00
Property Tax Expense
100.00
Total
47,000.00 43,100.0
The following error were detected:
a. The CAsh balance is overstated by P300.
b.Property tax expense of P500 was
omitted from the trial balance.
c.The land should be listed in the amount
of P23000.
d.A P200 purchased of supplies on
account was neither journalized nor
posted.
e.A P2,800 credit to Hotel Service Revenue
was not posted.
f.Rent Expense of P200 was posted as a
credit rather than a debit.
g.The balance of Advertising Expense is
P600,but it was listed as P500 on the trial
balance.
h.A P300 debit to Accounts REceivab;e was
posted as P30.
IThe balance of Utilities Expense is
overstated by P70.
JA P900 debit to the withdrawal account
was posted as a debit to Chris Capital.
Transcribed Image Text:DR CR Cash 2,000.00 Accounts Receivable 10,000.00 Supplies 900.00 office Furniture 3,600.00 Land 25,000.00 Accounts Payable 4,000.00 Noten Payable 14,000.0 Chris,Capital 18,600.0 Chris, Withdrawa;s 2,000.00 Hotel Service Revenue 6,500.00 Salary Expense 1,600.00 Rent Expense 1,000.00 Advertising Expense 500.00 Utilities Expense 300.00 Property Tax Expense 100.00 Total 47,000.00 43,100.0 The following error were detected: a. The CAsh balance is overstated by P300. b.Property tax expense of P500 was omitted from the trial balance. c.The land should be listed in the amount of P23000. d.A P200 purchased of supplies on account was neither journalized nor posted. e.A P2,800 credit to Hotel Service Revenue was not posted. f.Rent Expense of P200 was posted as a credit rather than a debit. g.The balance of Advertising Expense is P600,but it was listed as P500 on the trial balance. h.A P300 debit to Accounts REceivab;e was posted as P30. IThe balance of Utilities Expense is overstated by P70. JA P900 debit to the withdrawal account was posted as a debit to Chris Capital.
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