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book Accounting 26th Edition by Carl Warren ,Jim Reeve ,Jonathan Duchac cover

Accounting 26th Edition by Carl Warren ,Jim Reeve ,Jonathan Duchac

Edition 26ISBN: 978-1337498159
book Accounting 26th Edition by Carl Warren ,Jim Reeve ,Jonathan Duchac cover

Accounting 26th Edition by Carl Warren ,Jim Reeve ,Jonathan Duchac

Edition 26ISBN: 978-1337498159
Exercise 52
Corrected trial balance
The Colby Group has the following unadjusted trial balance as of August 31, 2016:
Corrected trial balance  The Colby Group has the following unadjusted trial balance as of August 31, 2016:     The debit and credit totals are not equal as a result of the following errors: a. The cash entered on the trial balance was understated by $6,000. b. A cash receipt of $5,600 was posted as a debit to Cash of $6,500. c. A debit of $11,000 to Accounts Receivable was not posted. d. A return of $150 of defective supplies was erroneously posted as a $1,500 credit to Supplies. e. An insurance policy acquired at a cost of $1,200 was posted as a credit to Prepaid Insurance. f. The balance of Notes Payable was understated by $20,000. g. A credit of $4,800 in Accounts Payable was overlooked when determining the balance of the account. h. A debit of $7,000 for a withdrawal by the owner was posted as a credit to Terry Colby, Capital. i. The balance of $58,100 in Rent Expense was entered as $51,800 in the trial balance. j. Gas, Electricity, and Water Expense, with a balance of $24,150, was omitted from the trial balance. Instructions  1. Prepare a corrected unadjusted trial balance as of August 31, 2016. 2. Does the fact that the unadjusted trial balance in (1) is balanced mean that there are no errors in the accounts Explain.
The debit and credit totals are not equal as a result of the following errors:
a. The cash entered on the trial balance was understated by $6,000.
b. A cash receipt of $5,600 was posted as a debit to Cash of $6,500.
c. A debit of $11,000 to Accounts Receivable was not posted.
d. A return of $150 of defective supplies was erroneously posted as a $1,500 credit to Supplies.
e. An insurance policy acquired at a cost of $1,200 was posted as a credit to Prepaid Insurance.
f. The balance of Notes Payable was understated by $20,000.
g. A credit of $4,800 in Accounts Payable was overlooked when determining the balance of the account.
h. A debit of $7,000 for a withdrawal by the owner was posted as a credit to Terry Colby, Capital.
i. The balance of $58,100 in Rent Expense was entered as $51,800 in the trial balance.
j. Gas, Electricity, and Water Expense, with a balance of $24,150, was omitted from the trial balance.
Instructions
1. Prepare a corrected unadjusted trial balance as of August 31, 2016.
2. Does the fact that the unadjusted trial balance in (1) is balanced mean that there are no errors in the accounts Explain.
Explanation
Verified
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1.Unadjusted trial balance blured image 2
The fact t...

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Accounting 26th Edition by Carl Warren ,Jim Reeve ,Jonathan Duchac
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