The following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable: Trial Balance June 30th, 2013 Account Debit Credit Cash 6,600 Accounts receivable 8,000 Supplies 600 Motor vehicle 89,000 Accounts payable 55,000 Marlon Morgan: Capital 50,700 Marlon Brown: Withdrawal 2,300 Service revenue 4,500 Salary 4,100 Rent 800 . 111,400 110,200 3 You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required) a. Cash was understated by $2,000 b. A $1,000 debit to accounts receivable was posted as a credit. c. A $1,400 purchase of supplies on account was omitted from the company’s books. d. Motor Vehicle cost should have been $84,300 instead of $89,000 e. Salary expense was overstated by $500The

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 following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable:
Trial Balance
June 30th, 2013
Account
Debit
Credit
Cash
6,600
Accounts receivable
8,000
Supplies
600
Motor vehicle
89,000
Accounts payable
55,000
Marlon Morgan: Capital
50,700
Marlon Brown: Withdrawal
2,300
Service revenue
4,500
Salary
4,100
Rent
800
.
111,400
110,200
3
You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required)
a. Cash was understated by $2,000
b. A $1,000 debit to accounts receivable was posted as a credit.
c. A $1,400 purchase of supplies on account was omitted from the company’s books.
d. Motor Vehicle cost should have been $84,300 instead of $89,000
e. Salary expense was overstated by $500The following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable:
Trial Balance
June 30th, 2013
Account
Debit
Credit
Cash
6,600
Accounts receivable
8,000
Supplies
600
Motor vehicle
89,000
Accounts payable
55,000
Marlon Morgan: Capital
50,700
Marlon Brown: Withdrawal
2,300
Service revenue
4,500
Salary
4,100
Rent
800
.
111,400
110,200
3
You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required)
a. Cash was understated by $2,000
b. A $1,000 debit to accounts receivable was posted as a credit.
c. A $1,400 purchase of supplies on account was omitted from the company’s books.
d. Motor Vehicle cost should have been $84,300 instead of $89,000
e. Salary expense was overstated by $500The following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable:
Trial Balance
June 30th, 2013
Account
Debit
Credit
Cash
6,600
Accounts receivable
8,000
Supplies
600
Motor vehicle
89,000
Accounts payable
55,000
Marlon Morgan: Capital
50,700
Marlon Brown: Withdrawal
2,300
Service revenue
4,500
Salary
4,100
Rent
800
.
111,400
110,200
3
You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required)
a. Cash was understated by $2,000
b. A $1,000 debit to accounts receivable was posted as a credit.
c. A $1,400 purchase of supplies on account was omitted from the company’s books.
d. Motor Vehicle cost should have been $84,300 instead of $89,000
e. Salary expense was overstated by $500The following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable:
Trial Balance
June 30th, 2013
Account
Debit
Credit
Cash
6,600
Accounts receivable
8,000
Supplies
600
Motor vehicle
89,000
Accounts payable
55,000
Marlon Morgan: Capital
50,700
Marlon Brown: Withdrawal
2,300
Service revenue
4,500
Salary
4,100
Rent
800
.
111,400
110,200
3
You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required)
a. Cash was understated by $2,000
b. A $1,000 debit to accounts receivable was posted as a credit.
c. A $1,400 purchase of supplies on account was omitted from the company’s books.
d. Motor Vehicle cost should have been $84,300 instead of $89,000
e. Salary expense was overstated by $500The following trial balance for Kids Play does not balance and the owner is concerned and has passed it to you for review and adjustments where applicable:
Trial Balance
June 30th, 2013
Account
Debit
Credit
Cash
6,600
Accounts receivable
8,000
Supplies
600
Motor vehicle
89,000
Accounts payable
55,000
Marlon Morgan: Capital
50,700
Marlon Brown: Withdrawal
2,300
Service revenue
4,500
Salary
4,100
Rent
800
.
111,400
110,200
3
You have now been presented with the following list of errors and have been asked to prepare the adjusted trial balance: (journal entries are not required)
a. Cash was understated by $2,000
b. A $1,000 debit to accounts receivable was posted as a credit.
c. A $1,400 purchase of supplies on account was omitted from the company’s books.
d. Motor Vehicle cost should have been $84,300 instead of $89,000
e. Salary expense was overstated by $500

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