A trial balance has total debits of $20,000 and total credits of $24,500. Which one of the following errors would create this imbalance? Explain. a. A $2,250 debit to Utilities Expense in a journal entry was incorrectly posted to the ledger as a $2,250 credit, leaving the Utilities Expense account with a $3,000 debit balance. b. A $4,500 debit to Salaries Expense in a journal entry was incorrectly posted to the ledger as a $4,500 credit, leaving the Salaries Expense account with a $750 debit balance. c. A $2,250 credit to Consulting Fees Earned (Revenues) in a journal entry was incorrectly posted to the ledger as a $2,250 debit, leaving the Consulting Fees Earned account with a $6,300 credit balance. d. A $2,250 debit posting to Accounts Receivable was posted mistakenly to Land. e. A $4,500 debit posting to Equipment was posted mistakenly to Cash. f. An entry debiting Cash and crediting Accounts Payable for $4,500 was mistakenly not posted.

College Accounting (Book Only): A Career Approach
13th Edition
ISBN:9781337280570
Author:Scott, Cathy J.
Publisher:Scott, Cathy J.
Chapter2: T Accounts, Debits And Credits, Trial Balance, And Financial Statements
Section: Chapter Questions
Problem 8E: Would the following errors cause the trial balance to have equal or unequal totals? As a result of...
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A trial balance has total debits of $20,000 and total credits of $24,500. Which one of the following errors
would create this imbalance? Explain.
a. A $2,250 debit to Utilities Expense in a journal entry was incorrectly posted to the ledger as a $2,250
credit, leaving the Utilities Expense account with a $3,000 debit balance.
b. A $4,500 debit to Salaries Expense in a journal entry was incorrectly posted to the ledger as a $4,500
credit, leaving the Salaries Expense account with a $750 debit balance.
c. A $2,250 credit to Consulting Fees Earned (Revenues) in a journal entry was incorrectly posted to the
ledger as a $2,250 debit, leaving the Consulting Fees Earned account with a $6,300 credit balance.
d. A $2,250 debit posting to Accounts Receivable was posted mistakenly to Land.
e. A $4,500 debit posting to Equipment was posted mistakenly to Cash.
f. An entry debiting Cash and crediting Accounts Payable for $4,500 was mistakenly not posted.

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