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{b} Post the journal entries to T-accounts. {c} Prepare a trial balance as of May 31, 201?. P2-4A The trial balance o1Avtar Sandhu Co. shown
{b} Post the journal entries to T-accounts. {c} Prepare a trial balance as of May 31, 201?. P2-4A The trial balance o1Avtar Sandhu Co. shown below does not balance. Each oi the listed accounts has a normal balance per the general ledger. An examination of the ledger and journal reveals the following errors. 1. Cash received from a customer in payment of its account was debited tor $580, and Accounts Receivable was credited for the same amount. The actual collection was tor $350. 2. The purchase of a computer on account for $?10 was recorded as a debit to Supplies for $710 and a credit to Accounts Payable tor Etc. 3. Services were performed on account for a client for $980. Accounts Receivable was debited for $980, and Service Ftevenue was credited for $93
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