LOVE TO LEARN CHILD CARE Trial Balance May 31, 2018 Balance Account Title Debit Credit Cash $ 8,060 Accounts Receivable 8,700 Office Supplies 1,000 Prepaid Insurance 1,700 Equipment 90,400 Accounts Payable 2$ $ 3,000 Notes Payable 45,000 Common Stock 54,000 Dividends 3,740 Service Revenue 16,300 Salaries Expense 4,350 Rent Expense 400 Total $ 118,350 $ 118,300

Financial Accounting Intro Concepts Meth/Uses
14th Edition
ISBN:9781285595047
Author:Weil
Publisher:Weil
Chapter12: Liabilities: Off-balance-sheet Financing, Retirement Benefits, And Income Taxes
Section: Chapter Questions
Problem 22E
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Correcting errors in a trial balance

The trial balance of Love to Learn Child Care does not balance.

The following errors are detected:

a. Cash is understated by $1,800.

b. A $3,800 debit to Accounts Receivable was posted as a credit.

c. A $1,000 purchase of office supplies on account was neither journalized nor posted.

d. Equipment was incorrectly transferred from the ledger as $90,400. It should have been transferred as $82,500.

e. Salaries Expense is overstated by $350.

f. A $300 cash payment for advertising expense was neither journalized nor posted.

g. A $160 cash dividend was incorrectly journalized as $1,600.

h. Service Revenue was understated by $4,000.

i. A 12-month insurance policy was posted as a $1,400 credit to Prepaid Insurance. Cash was posted correctly.

Prepare the corrected trial balance as of May 31, 2018.journal entries are not required.

LOVE TO LEARN CHILD CARE
Trial Balance
May 31, 2018
Balance
Account Title
Debit
Credit
Cash
$ 8,060
Accounts Receivable
8,700
Office Supplies
1,000
Prepaid Insurance
1,700
Equipment
90,400
Accounts Payable
2$
$ 3,000
Notes Payable
45,000
Common Stock
54,000
Dividends
3,740
Service Revenue
16,300
Salaries Expense
4,350
Rent Expense
400
Total
$ 118,350
$ 118,300
Transcribed Image Text:LOVE TO LEARN CHILD CARE Trial Balance May 31, 2018 Balance Account Title Debit Credit Cash $ 8,060 Accounts Receivable 8,700 Office Supplies 1,000 Prepaid Insurance 1,700 Equipment 90,400 Accounts Payable 2$ $ 3,000 Notes Payable 45,000 Common Stock 54,000 Dividends 3,740 Service Revenue 16,300 Salaries Expense 4,350 Rent Expense 400 Total $ 118,350 $ 118,300
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