a. The adjustment for accrued wages of $5,200 was journalized as a debit to Wages Expense for $5,200 and a credit to Accounts Payable for $5,200.
b. The entry for $1,125 of supplies used during the period was journalized as a debit to Supplies Expense of $1,125 and a credit to Supplies of $1,152.
Answer:
a. The totals are equal even though the credit should have been to Wages Payable instead of Accounts Payable.
b. The totals are unequal. The credit total is higher by $27 ($1,152 – $1,125).
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