The following trial balance of Blue Co. does not balance. BLUE CO. TRIAL BALANCE JUNE 30, 2020     Debit   Credit Cash         $3,307   Accounts Receivable   $2,844         Supplies   1,237         Equipment   4,237         Accounts Payable         3,103   Unearned Service Revenue   1,637         Common Stock         6,437   Retained Earnings         3,437   Service Revenue         2,817   Salaries and Wages Expense   3,837         Office Expense   1,377         Totals   $15,169     $19,101   Each of the listed accounts should have a normal balance per the general ledger. An examination of the ledger and journal reveals the following errors. 1.   Cash received from a customer on account was debited for $570, and Accounts Receivable was credited for the same amount. The actual collection was for $750. 2.   The purchase of a computer printer on account for $937 was recorded as a debit to Supplies for $937 and a credit to Accounts Payable for $937. 3.   Services were performed on account for a client for $890. Accounts Receivable was debited for $890 and Service Revenue was credited for $89. 4.   A payment of $90 for telephone charges was recorded as a debit to Office Expense for $90 and a debit to Cash for $90. 5.   When the Unearned Service Revenue account was reviewed, it was found that service revenue amounting to $762 was performed prior to June 30 (related to Unearned Service Revenue). 6.   A debit posting to Salaries and Wages Expense of $1,107 was omitted. 7.   A payment on account for $206 was credited to Cash for $206 and credited to Accounts Payable for $260. 8.   A dividend of $1,012 was debited to Salaries and Wages Expense for $1,012 and credited to Cash for $1,012. Prepare a correct trial balance. BLUE CO. Trial Balance choose the accounting period                                                           June 30, 2020Year Ended June 30, 2020Month Ended June 30, 2020   Debit   Credit enter an account title $enter a debit balance    $enter a credit balance  enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance enter an account title enter a debit balance   enter a credit balance Totals $enter a total for the debit column    $enter a total for the credit column

Corporate Financial Accounting
14th Edition
ISBN:9781305653535
Author:Carl Warren, James M. Reeve, Jonathan Duchac
Publisher:Carl Warren, James M. Reeve, Jonathan Duchac
Chapter4: Completing The Accounting Cycle
Section: Chapter Questions
Problem 1CP: The unadjusted trial balance of PS Music as of July 31, 2018, along with the adjustment data for the...
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The following trial balance of Blue Co. does not balance.

BLUE CO.
TRIAL BALANCE
JUNE 30, 2020
   
Debit
 
Credit
Cash
        $3,307  
Accounts Receivable
  $2,844        
Supplies
  1,237        
Equipment
  4,237        
Accounts Payable
        3,103  
Unearned Service Revenue
  1,637        
Common Stock
        6,437  
Retained Earnings
        3,437  
Service Revenue
        2,817  
Salaries and Wages Expense
  3,837        
Office Expense
  1,377        
Totals
 
$15,169
   
$19,101
 

Each of the listed accounts should have a normal balance per the general ledger. An examination of the ledger and journal reveals the following errors.

1.   Cash received from a customer on account was debited for $570, and Accounts Receivable was credited for the same amount. The actual collection was for $750.
2.   The purchase of a computer printer on account for $937 was recorded as a debit to Supplies for $937 and a credit to Accounts Payable for $937.
3.   Services were performed on account for a client for $890. Accounts Receivable was debited for $890 and Service Revenue was credited for $89.
4.   A payment of $90 for telephone charges was recorded as a debit to Office Expense for $90 and a debit to Cash for $90.
5.   When the Unearned Service Revenue account was reviewed, it was found that service revenue amounting to $762 was performed prior to June 30 (related to Unearned Service Revenue).
6.   A debit posting to Salaries and Wages Expense of $1,107 was omitted.
7.   A payment on account for $206 was credited to Cash for $206 and credited to Accounts Payable for $260.
8.   A dividend of $1,012 was debited to Salaries and Wages Expense for $1,012 and credited to Cash for $1,012.

Prepare a correct trial balance.

BLUE CO.
Trial Balance
choose the accounting period                                                           June 30, 2020Year Ended June 30, 2020Month Ended June 30, 2020
 
Debit
 
Credit
enter an account title
$enter a debit balance 
 
$enter a credit balance 
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
enter an account title
enter a debit balance
 
enter a credit balance
Totals
$enter a total for the debit column 
 
$enter a total for the credit column 
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