The following trial balance of Blues Traveler Corporation does not balance. Blues Traveler CorporationTrial BalanceApril 30, 2020      Debit    Credit Cash $  5,912   Accounts Receivable 5,240   Supplies 2,967   Equipment 6,100   Accounts Payable   $  7,044 Common Stock   8,000 Retained Earnings   2,000 Service Revenue   5,200 Office Expense    4,320 000000   $24,539 $22,244 An examination of the ledger shows these errors. 1.    Cash received from a customer on account was recorded (both debit and credit) as $1,380 instead of $1,830. 2.    The purchase on account of a computer costing $3,200 was recorded as a debit to Office Expense and a credit to Accounts Payable. 3.    Services were performed on account for a client, $2,250, for which Accounts Receivable was debited $2,250 and Service Revenue was credited $225. 4.    A payment of $95 for telephone charges was entered as a debit to Office Expense and a debit to Cash. 5.    The Service Revenue account was totaled at $5,200 instead of $5,280. Instructions From this information prepare a corrected trial balance.

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 of Blues Traveler Corporation does not balance.

Blues Traveler Corporation
Trial Balance
April 30, 2020
     Debit    Credit
Cash $  5,912  
Accounts Receivable 5,240  
Supplies 2,967  
Equipment 6,100  
Accounts Payable   $  7,044
Common Stock   8,000
Retained Earnings   2,000
Service Revenue   5,200
Office Expense    4,320 000000
  $24,539 $22,244

An examination of the ledger shows these errors.

1.    Cash received from a customer on account was recorded (both debit and credit) as $1,380 instead of $1,830.

2.    The purchase on account of a computer costing $3,200 was recorded as a debit to Office Expense and a credit to Accounts Payable.

3.    Services were performed on account for a client, $2,250, for which Accounts Receivable was debited $2,250 and Service Revenue was credited $225.

4.    A payment of $95 for telephone charges was entered as a debit to Office Expense and a debit to Cash.

5.    The Service Revenue account was totaled at $5,200 instead of $5,280.

Instructions

From this information prepare a corrected trial balance.

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