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Entries to Correct Errors The following errors took place in journalizing and posting transactions: a. Cash of $8,800 received on account was recorded as a
Entries to Correct Errors The following errors took place in journalizing and posting transactions: a. Cash of $8,800 received on account was recorded as a debit to Fees Earned and a credit to Cash. b. A $1,760 purchase of supplies for cash was recorded as a debit to Supplies Expense and a credit to Accounts Payable. Journalize the entries to correct the errors. First reverse the original entry and then make the correct entry. If an amount box does not require an entry, leave it blank. a. Cash Fees Earned Cash Accounts Receivable b. Accounts Payable Supplies Expense Supplies Cash Feedback Check My Work First, determine the debit(s) and credit(s) that should have been recorded. Then make one entry to reverse the incorrect entry, and record a second correct entry. Entries to Correct Errors The following errors took place in journalizing and posting transactions: a. Cash of $8,800 received on account was recorded as a debit to Fees Earned and a credit to Cash. b. A $1,760 purchase of supplies for cash was recorded as a debit to Supplies Expense and a credit to Accounts Payable. Journalize the entries to correct the errors. First reverse the original entry and then make the correct entry. If an amount box does not require an entry, leave it blank. Feedback F check My Work First, determine the debit(s) and credit(s) that should have been recorded. Then make one entry to reverse the incorrect entry, and record a second correct entry
Entries to Correct Errors The following errors took place in journalizing and posting transactions: a. Cash of $8,800 received on account was recorded as a debit to Fees Earned and a credit to Cash. b. A $1,760 purchase of supplies for cash was recorded as a debit to Supplies Expense and a credit to Accounts Payable. Journalize the entries to correct the errors. First reverse the original entry and then make the correct entry. If an amount box does not require an entry, leave it blank. a. Cash Fees Earned Cash Accounts Receivable b. Accounts Payable Supplies Expense Supplies Cash Feedback Check My Work First, determine the debit(s) and credit(s) that should have been recorded. Then make one entry to reverse the incorrect entry, and record a second correct entry.
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