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Mathematics, 22.02.2020 02:28 jghdvine

A (Part Level Submission) Dao Vang, CPA, was retained by Universal Cable to prepare financial statements for April 2017. Vang accumulated all the ledger balances per Universal’s records and found the following. UNIVERSAL CABLE Trial Balance April 30, 2017 Debit Credit Cash $4,100 Accounts Receivable 3,200 Supplies 800 Equipment 10,600 Accumulated Depreciation-Equip. $1,350 Accounts Payable 2,100 Salaries and Wages Payable 700 Unearned Service Revenue 890 Common Stock 10,000 Retained Earnings 2,900 Service Revenue 5,450 Salaries and Wages Expense 3,300 Advertising Expense 600 Miscellaneous Expense 290 Depreciation Expense 500 $23,390 $23,390 Dao Vang reviewed the records and found the following errors. 1. Cash received from a customer on account was recorded as $950 instead of $590. 2. A payment of $75 for advertising expense was entered as a debit to Miscellaneous Expense $75 and a credit to Cash $75. 3. The first salary payment this month was for $1,900, which included $700 of salaries payable on March 31. The payment was recorded as a debit to Salaries and Wages Expense $1,900 and a credit to Cash $1,900. (No reversing entries were made on April 1.) 4. The purchase on account of a printer costing $310 was recorded as a debit to Supplies and a credit to Accounts Payable for $310. 5. A cash payment of repair expense on equipment for $96 was recorded as a debit to Equipment $69 and a credit to Cash $69. Collapse question part (a) Prepare an analysis of each error showing the incorrect entry, the correct entry, and the correcting entry. Items 4 and 5 occurred on April 30, 2017. B)

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A (Part Level Submission) Dao Vang, CPA, was retained by Universal Cable to prepare financial statem...
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