Prepare a corrected trial balance by changing incorrect amounts and placing each amount in the proper column.
a.
Be sure all accounts have been listed with the appropriate debit or credit balance and check column totals.
b.
The debits to the Cash account are $37,421,and the credits are $34,381.
c.
A $500 payment to a creditor was entered in the journal,but was not posted to the Accounts Payable account.Cash was properly posted.
d.
The Advertising Expense total has a transposition error of $90.
e.
Accounts Receivable contains a slide error.
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