he bookkeeper for Nevado Company has prepared the following trial balance: Nevado Company Trial Balance June 30, 20--- ccount Name ash accounts Receivable upplies repaid Insurance quipment ccounts Payable II. Nevado, Capital II. Nevado, Drawing rofessional Fees ent Expense iscellaneous Expense Debit Credit 4,160 DEBIT 9,700 1,000 1,080 23,910 8,100 4,490 20,800 29,200 830 3,000 47,620 58,650 he bookkeeper has asked for your help. In examining the company's journal and ledger, you discover the following errors. Use this information to construct a corrected trial bala .The debits to the Cash account total $13,310, and the credits total $5,490. A $850 payment to a creditor was entered in the journal correctly but was not posted to the Accounts Payable account. The first two numbers in the balance of the Accounts Receivable account were transposed when the balance was copied from the ledger to the trial balance. . The $2,500 amount withdrawn by the owner for personal use was debited to Miscellaneous Expense by mistake - it was correctly credited to Cash. ist all the accounts in the proper order as described in the textbook. If no amount is required, leave the entry box blank. Nevado Company Trial Balance June 30, 20--- CREDIT

Century 21 Accounting Multicolumn Journal
11th Edition
ISBN:9781337679503
Author:Gilbertson
Publisher:Gilbertson
Chapter21: Accounting For Accruals, Deferrals, And Reversing Entries
Section21.1: Accruals
Problem 1OYO
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The bookkeeper for Nevado Company has prepared the following trial balance:
Nevado Company
Trial Balance
June 30, 20--
Account Name
Cash
Accounts Receivable
Supplies
Prepaid Insurance
Equipment
Accounts Payable
M. Nevado, Capital
M. Nevado, Drawing
Professional Fees
Rent Expense
Miscellaneous Expense
Debit Credit
4,160
DEBIT
9,700
1,000
1,080
23,910
8,100
4,490
20,800
29,200
830
3,000
47,620 58,650
The bookkeeper has asked for your help. In examining the company's journal and ledger, you discover the following errors. Use this information to construct a corrected trial balance.
a. The debits to the Cash account total $13,310, and the credits total $5,490.
b. A $850 payment to a creditor was entered in the journal correctly but was not posted to the Accounts Payable account.
c. The first two numbers in the balance of the Accounts Receivable account were transposed when the balance was copied from the ledger to the trial balance.
d. The $2,500 amount withdrawn by the owner for personal use was debited to Miscellaneous Expense by mistake - it was correctly credited to Cash.
List all the accounts in the proper order as described in the textbook. If no amount is required, leave the entry box blank.
Nevado Company
Trial Balance
June 30, 20--
CREDIT
Transcribed Image Text:The bookkeeper for Nevado Company has prepared the following trial balance: Nevado Company Trial Balance June 30, 20-- Account Name Cash Accounts Receivable Supplies Prepaid Insurance Equipment Accounts Payable M. Nevado, Capital M. Nevado, Drawing Professional Fees Rent Expense Miscellaneous Expense Debit Credit 4,160 DEBIT 9,700 1,000 1,080 23,910 8,100 4,490 20,800 29,200 830 3,000 47,620 58,650 The bookkeeper has asked for your help. In examining the company's journal and ledger, you discover the following errors. Use this information to construct a corrected trial balance. a. The debits to the Cash account total $13,310, and the credits total $5,490. b. A $850 payment to a creditor was entered in the journal correctly but was not posted to the Accounts Payable account. c. The first two numbers in the balance of the Accounts Receivable account were transposed when the balance was copied from the ledger to the trial balance. d. The $2,500 amount withdrawn by the owner for personal use was debited to Miscellaneous Expense by mistake - it was correctly credited to Cash. List all the accounts in the proper order as described in the textbook. If no amount is required, leave the entry box blank. Nevado Company Trial Balance June 30, 20-- CREDIT
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