item below that would cause the trial balance to not balance? ple Cholce ) A $1,260 collection of an account recelvable was erroneously posted as a deblt to Accounts Recelvable and a credit to Cash. The purchase of office supplies on account for $3.260 was erroneously recorded In the Journal as $2,360 debit to Office Supplies and $2.360 credit to Accounts Payable A $180 cash recelpt for the performance of a service was not recorded at all. The purchase of office equlpment for $1,850 was posted as a debit to Office Supplies and a credit to Cash for $1,850. The cash payment of a $1,010 account payable was posted as a debit to Accounts Payable and a debit to Cash for $1,010.

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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Identify the item below that would cause the trial balance to not balance?
Multiple Cholce
A $1,260 collection of an account recelvable was erroneously posted as a debit to Accounts Recelvable and a credit to Cash.
The purchase of office supplies on account for $3.260 was erroneously recorded In the journal as $2,360 debit to Office Supplies and $2,360 credit to Accounts Payable
A $180 cash recelpt for the performance of a service was not recorded at all.
The purchase of office equipment for $1,850 was posted as a deblt to Office Supplies and a credit to Cash for $1,850.
The cash payment of a $1,010 account payable was posted as a debit to Accounts Payable and a debit to Cash for $1,010.
Transcribed Image Text:Identify the item below that would cause the trial balance to not balance? Multiple Cholce A $1,260 collection of an account recelvable was erroneously posted as a debit to Accounts Recelvable and a credit to Cash. The purchase of office supplies on account for $3.260 was erroneously recorded In the journal as $2,360 debit to Office Supplies and $2,360 credit to Accounts Payable A $180 cash recelpt for the performance of a service was not recorded at all. The purchase of office equipment for $1,850 was posted as a deblt to Office Supplies and a credit to Cash for $1,850. The cash payment of a $1,010 account payable was posted as a debit to Accounts Payable and a debit to Cash for $1,010.
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