A company’s trial balance failed to agree, the totals being:
Debit $815,602 Credit $808,420
Which one of the following errors could fully account for the difference?
A The omission from the trial balance of the balance on the insurance expense account $7,182 debit B Discount allowed $3,591 debited in error to the discount received account C No entries made in the records for cash sales totalling $7,182 D The returns outwards total of $3,591 was included in the trial balance as a debit balance D |