The trial balance of Gagne Company shown below does not balance                     GAGNE COMPANY                         Trial Balance                        June 30, 2008                                         Debit                              Credit Cash                               $2,600  Accounts receivable          7,600  Supplies                            600  Equipment                        8,300  Accounts Payable                                                   $9,766 Gagne, Capital                                                         1,952 Gagne, Drawing                 1,500  Service Revenue                                                      15,200 Wage Expense                  3,800  Repair Expense                 1,600  __Total                            $26,000                           $26,918 As examination of the ledger and journal reveals the following errors: Each of the above listed accounts has a normal balance per the general ledger Cash of $360 received from a customer on account was debited to Cash $630 and credited to Accounts Receivable $630 A withdrawal of $300 by the owner was posted as a credit to Gagne, Drawing, $300 and credited to Cash $30 A debit of $300 was not posted to Wages Expense The purchase of equipment on account for $700 was recorded as a debit to Repair Expense and a credit to Accounts Payable for $700 Services werer performed on account for a customer, $510, for which Accounts Receivable was debited $510 and Service Revenue was credited $51 A payment on account for $225 was credited to Cash for $225 and credited to Accounts Payable for $252 Prepare a correct the Trial Balance (correct or adjust error )

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
Section: Chapter Questions
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The trial balance of Gagne Company shown below does not balance

                    GAGNE COMPANY

                        Trial Balance

                       June 30, 2008

                                        Debit                              Credit

Cash                               $2,600 

Accounts receivable          7,600 

Supplies                            600 

Equipment                        8,300 

Accounts Payable                                                   $9,766

Gagne, Capital                                                         1,952

Gagne, Drawing                 1,500 

Service Revenue                                                      15,200

Wage Expense                  3,800 

Repair Expense                 1,600 

__Total                            $26,000                           $26,918

As examination of the ledger and journal reveals the following errors:

  1. Each of the above listed accounts has a normal balance per the general ledger
  2. Cash of $360 received from a customer on account was debited to Cash $630 and credited to Accounts Receivable $630
  3. A withdrawal of $300 by the owner was posted as a credit to Gagne, Drawing, $300 and credited to Cash $30
  4. A debit of $300 was not posted to Wages Expense
  5. The purchase of equipment on account for $700 was recorded as a debit to Repair Expense and a credit to Accounts Payable for $700
  6. Services werer performed on account for a customer, $510, for which Accounts Receivable was debited $510 and Service Revenue was credited $51
  7. A payment on account for $225 was credited to Cash for $225 and credited to Accounts Payable for $252

Prepare a correct the Trial Balance (correct or adjust error ).

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