The trial balance of Roger’s Portrait as of January 31, 2019 is shown below. It does not balance because of a number of errors.   DEBIT CREDIT CASH 14,200   ACCOUNTS RECEIVABLE 18,900   SUPPLIES 3,751   PREPAID INSURANCE 3,200   EQUIPMENT 57,380   ACCOUNTS PAYABLE   8,400 NOTES PAYABLE   6,000 ROGER TORRES, CAPITAL   52,000 ROGER TORRES, DRAWING 4,000   PHOTOGRAPHY REVENUE   114,760 WAGES EXPENSE 43,810   RENT EXPENSE 20,000   ADVERTISING EXPENSE 476   UTILITIES EXPENSE 7,240   TOTAL 172,957 181,160   A debit of Php 200 to Cash was posted as Php 2,000. A debit of Php 1,500 to Accounts Receivable was not posted. A return of Php 67 of defectives supplies was erroneously posted as a Php 76 credit to supplies. An insurance policy acquired at a cost of Php 1,080 was posted as a credit to Prepaid Insurance. The balance of Notes Payable was understated by Php 800. A credit of Php 600 to Accounts Payable was overlooked when the balance of the account was determined. A debit of Php 2,000 for a withdrawal by the owner was posted as a credit to capital account. The correct balance of Advertising Expense was Php 2,380. Miscellaneous Expense, with a balance of Php 1,830, was omitted from the trial balance.   REQUIRED: Prepare a corrected trial balance as of January 31, 2019.

Financial Accounting
15th Edition
ISBN:9781337272124
Author:Carl Warren, James M. Reeve, Jonathan Duchac
Publisher:Carl Warren, James M. Reeve, Jonathan Duchac
Chapter2: Analyzing Transactions
Section: Chapter Questions
Problem 5PB: Tech Support Services has the following unadjusted trial balance as of January 31, 2019: The debit...
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The trial balance of Roger’s Portrait as of January 31, 2019 is shown below. It does not balance because of a number of errors.

 

DEBIT

CREDIT

CASH

14,200

 

ACCOUNTS RECEIVABLE

18,900

 

SUPPLIES

3,751

 

PREPAID INSURANCE

3,200

 

EQUIPMENT

57,380

 

ACCOUNTS PAYABLE

 

8,400

NOTES PAYABLE

 

6,000

ROGER TORRES, CAPITAL

 

52,000

ROGER TORRES, DRAWING

4,000

 

PHOTOGRAPHY REVENUE

 

114,760

WAGES EXPENSE

43,810

 

RENT EXPENSE

20,000

 

ADVERTISING EXPENSE

476

 

UTILITIES EXPENSE

7,240

 

TOTAL

172,957

181,160

 

  1. A debit of Php 200 to Cash was posted as Php 2,000.
  2. A debit of Php 1,500 to Accounts Receivable was not posted.
  3. A return of Php 67 of defectives supplies was erroneously posted as a Php 76 credit to supplies.
  4. An insurance policy acquired at a cost of Php 1,080 was posted as a credit to Prepaid Insurance.
  5. The balance of Notes Payable was understated by Php 800.
  6. A credit of Php 600 to Accounts Payable was overlooked when the balance of the account was determined.
  7. A debit of Php 2,000 for a withdrawal by the owner was posted as a credit to capital account.
  8. The correct balance of Advertising Expense was Php 2,380.
  9. Miscellaneous Expense, with a balance of Php 1,830, was omitted from the trial balance.

 

REQUIRED:

Prepare a corrected trial balance as of January 31, 2019.

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