Previous Page 8 of 9Nexto After which of the following error
Previous Page 8 of 9Nexto After which of the following errors would the adjusted trial balance totals not agree? O a. A debit to Accounts Receivable was inadvertently posted as a credit to Accounts Payable. O b. The adjustment for depreciation was omitted. O c. A debit to Accounts Receivable was inadvertently posted as a debit to Accounts Payable. O d. Supplies were miscounted and adjusted for the wrong amount.
Solution
Answer is a. Debit of accounts receivable was inadvertently posted as credit to Accounts payable.
Explanation:
This error leads to disagreement in trial balance due to the fact that the entry of one side has been posted to another side.
