Question
the following trail balance of bramble traveler corporation does not balance bramble traveler corporation trial balance April 30th 2020 cash debit $6,772 account receivable $5,670
the following trail balance of bramble traveler corporation does not balance bramble traveler corporation trial balance April 30th 2020 cash debit $6,772 account receivable $5,670 supplies $3,397 equipment $6,530 accounts payable credit $7,474 common stock 8,430 retained earners $2,430 service revenue $5,630 total credit $23,964 office expense debit $4,750 total debit $27,119 and examination of the legal shows these errors cash received from a customer on account was recorded both debit and credit as 2010 instead of $2,280 the purchase on account of a computer cost in $2,951 was recorded as a debit to office expense and a credit to accounts payable services were performed on account for a client $2,680 for which accounts receivable was debited $2,680 and service revenue was credited $655 a payment of $525 for telephone chargers was entered as a debit to office expense in a debit to cash the service revenue account was totaled at $5,630 instead of $5,710 from this information prepared a corrected trail balance
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