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The trial balance of a business did not agree. A thorough check was carried out and the following errors were found. 1. A cash sale

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The trial balance of a business did not agree. A thorough check was carried out and the following errors were found. 1. A cash sale for 1,400 was rocorded in the cash account but not in the sales account. 2. A payment for repairs for 200 was recorded on the correct side of the repairs and renewals account but the incorrect side of the cash account. What was the difference between the two sides of the trial balance before the errors were found? A. 11200 B. 1,800 C. 1,600 D. 1000

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