Which of the following errors, each considered individually, would cause the trial balance to be out of balance?
A) A payment of $148 to a creditor was posted as a debit to Accounts Payable and a debit of $148 to Cash.
B) Cash of $530 received from a customer on account was posted as a debit of $350 to Cash and as a credit of $350 to Accounts Payable.
C) A payment of $59 for supplies was posted as a debit of $95 to Supplies and a credit of $95 to Cash.
D) A transaction was not posted.
Correct Answer:
Verified
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A)
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A)a
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B)normally
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