The trial balance of Indah Sdn Bhd shown below does not balance. Indah Sdn Bhd Trial balance as at 31 May 2021 Debit Credit Cash 3,850 Accounts Receivable Prepaid Insurance Equipment Building Accounts Payable 2,750 700 12,000 30,000 4,500 Uneamed Service Revenue 560 Share Capital Service Revemue Salaries and Wages Expense Advertising Expense Utilities Expense 41,700 8,690 4,200 1,100 800 48,800 62,050

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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I need to prepare a corrected trial balance.

The trial balance of Indah Sdn Bhd shown below does not balance.
Indah Sdn Bhd
Trial balance as at 31 May 2021
Debit
Credit
Cash
3,850
Accounts Receivable
2,750
Prepaid Insurance
Equipment
Building
Accounts Payable
700
12,000
30,000
4,500
Uneamed Service Revenue
560
Share Capital
41,700
Service Revenue
8,690
4,200
Salaries and Wages Expense
Advertising Expense
Utilities Expense
1,100
800
48,800
62,050
Transcribed Image Text:The trial balance of Indah Sdn Bhd shown below does not balance. Indah Sdn Bhd Trial balance as at 31 May 2021 Debit Credit Cash 3,850 Accounts Receivable 2,750 Prepaid Insurance Equipment Building Accounts Payable 700 12,000 30,000 4,500 Uneamed Service Revenue 560 Share Capital 41,700 Service Revenue 8,690 4,200 Salaries and Wages Expense Advertising Expense Utilities Expense 1,100 800 48,800 62,050
Your review of the ledger reveals that each account has a normal balance. You also discover
the following errors.
a) The totals of the debit sides of Prepaid Insurance, Accounts Payable, and Utilities
Expense were each understated RM100.
b) Transposition errors were made in Accounts Receivable and Service Revenue. Based on
postings made, the corect balances were RM2,570 and RM8,960, respectively.
c) A debit posting to Salaries and Wages Expense of RM200 was omitted.
d) A RM1,000 cash dividend was debited to Share Capital-Ordinary for RM1,000 and
credited to Cash for RM1,000.
e) A RM520 purchase of supplies on account was debited to Equipment for RM520 and
credited to Cash for RM520.
) A cash payment of RM450 for advertising was debited to Advertising Expense for RM45
and credited to Cash for RM45.
g) A collection from a customer for RM420 was debited to Cash for RM420 and credited to
Accounts Payable for RM420.
Transcribed Image Text:Your review of the ledger reveals that each account has a normal balance. You also discover the following errors. a) The totals of the debit sides of Prepaid Insurance, Accounts Payable, and Utilities Expense were each understated RM100. b) Transposition errors were made in Accounts Receivable and Service Revenue. Based on postings made, the corect balances were RM2,570 and RM8,960, respectively. c) A debit posting to Salaries and Wages Expense of RM200 was omitted. d) A RM1,000 cash dividend was debited to Share Capital-Ordinary for RM1,000 and credited to Cash for RM1,000. e) A RM520 purchase of supplies on account was debited to Equipment for RM520 and credited to Cash for RM520. ) A cash payment of RM450 for advertising was debited to Advertising Expense for RM45 and credited to Cash for RM45. g) A collection from a customer for RM420 was debited to Cash for RM420 and credited to Accounts Payable for RM420.
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