Question
The following corrections and or adjustments need to be made for errors in the trial balance: A number of account balances have been placed on
The following corrections and or adjustments need to be made for errors in the trial balance:
A number of account balances have been placed on the wrong side of the trial balance
An amount of $7,000 was omitted to be posted to the credit side of the Bank account
An amount of $6,000 was wrongly posted to the credit side instead of the debit side of the Inventory account
HI THERE, I HAVE MADE CORRECTIONS FOR THE FIRST POINT BUT I AM UNSURE ABOUT THE SECOND AND THIRD, do I have to post the omitted $7000 to the credit side, If so how do I show that in the trial balance? I thought that bank was an asset and therefore only shown in the trial balance as a debit account? What account should I post it in if so ? Or do I post it to the debit side? I have included the trial balance below.. am really hoping i can have an explanation to both last points as i cannot seem to find in my resources online any working out or explanations .. please help
Trial Balance
Debit Credit
Bank loan 180,000
Office Equipment 16,000
Premises 280,000
Accounts Receivable 15,500
Accounts Payable 9,500
Bank 35,600
Insurance 2,500
Wages 65,500
Sales 120,000
Cost of goods sold 35,000
Bad debts expense 3,000
Rent expense 52,000
Inventory 24,000
Capital 224,600
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