Essay
Prepare a corrected trial balance by changing incorrect amounts and placing each amount in the proper column.
?
a.
Be sure all accounts have been listed with the appropriate debit or credit balance and check column totals.
b.
The debits to the Cash account are $36,796,and the credits are $29,009.
c.
A $600 payment to a creditor was entered in the journal,but was not posted to the Accounts Payable account.Cash was properly posted.
d.
The Advertising Expense total has a transposition error of $81.
e.
Accounts Receivable contains a slide error.
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