The trial balance for Finders Company does not balance and the information as follows has been presented: Finders Company Trial Balance February 29, 2020 Account Debit Credit Cash        6,300   Accounts receivable        6,000   Supplies            400   Equipment      22,300   Computers      49,000   Accounts payable            2,800 Notes payable          18,500 Wright, Capital          50,000 Wright, Drawing        4,000   Service revenue            4,100 Salary Expense        1,400   Rent expense            800   Advertising expense            900   Utilities expense            800   Total      91,900        75,400   The following errors were detected:                                                         The cash balance is overstated by $5,000. Rent expense of $340 was erroneously posted as a credit rather than a debit. A $6,800 credit to Service revenue was not posted. A $400 debit to Accounts receivable was posted as $40. The balance of Utilities expense is understated by $70. A $900 purchase of supplies on account was neither journalized nor posted. Equipment should be $16,490.                                                 Requirement                                                            Prepare the corrected trial balance on February 29, 2020. Journal entries are not required. Prepare the company's financial statements for the month of February 2020.

Survey of Accounting (Accounting I)
8th Edition
ISBN:9781305961883
Author:Carl Warren
Publisher:Carl Warren
Chapter3: Basic Accounting Systems: Accrual Basis
Section: Chapter Questions
Problem 2SEQ: On January 24, 20Y8, Niche Consulting collected $5,700 it had hilled its clients for services...
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The trial balance for Finders Company does not balance and the information as follows has been presented:

Finders Company

Trial Balance

February 29, 2020

Account

Debit

Credit

Cash

       6,300

 

Accounts receivable

       6,000

 

Supplies

           400

 

Equipment

     22,300

 

Computers

     49,000

 

Accounts payable

 

         2,800

Notes payable

 

       18,500

Wright, Capital

 

       50,000

Wright, Drawing

       4,000

 

Service revenue

 

         4,100

Salary Expense

       1,400

 

Rent expense

           800

 

Advertising expense

           900

 

Utilities expense

           800

 

Total

     91,900

       75,400

 

The following errors were detected:                                                        

  1. The cash balance is overstated by $5,000.
  2. Rent expense of $340 was erroneously posted as a credit rather than a debit.
  3. A $6,800 credit to Service revenue was not posted.
  4. A $400 debit to Accounts receivable was posted as $40.
  5. The balance of Utilities expense is understated by $70.
  6. A $900 purchase of supplies on account was neither journalized nor posted.
  7. Equipment should be $16,490.

                                               

Requirement                                                           

  1. Prepare the corrected trial balance on February 29, 2020. Journal entries are not required.
  2. Prepare the company's financial statements for the month of February 2020.            
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