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-X More Info a. In preparing the trial balance, Kathy omitted a $3,000 Notes Receivable. The credit to Cash was correct. b. Kathy posted an

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-X More Info a. In preparing the trial balance, Kathy omitted a $3,000 Notes Receivable. The credit to Cash was correct. b. Kathy posted an $800 Utilities Expense as $80. The credit to Cash was correct c. In recording a $700 payment on account, Kathy debited Equipment instead of Accounts Payable. d. In journalizing a receipt of cash for service revenue, Kathy debited Cash for $1,000 instead of the correct amount of $100. The credit was correct. e. Kathy recorded a $340 purchase of office supplies on account by debiting Office Supplies for $430 and crediting Accounts Payable for $430. Print Done Kathy Rothman has trouble keeping her debits and credits equal. During a recent month, Kathy made the following accounting errors: i (Click the icon to view the accounting errors.) Read the requirements. Requirement 1. For each of these errors, state whether total debits equal total credits on the trial balance. For each error determine whether total debits are "Greater than" >). "Equal to" E), or "Less than" (

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