On May 25, Yellow House Company received a $650 check from Grizzly Bean for serv
ID: 2502734 • Letter: O
Question
On May 25, Yellow House Company received a $650 check from Grizzly Bean for services to be performed in the future. The bookkeeper for Yellow House Company incorrectly debited Cash for $650 and credited Accounts Receivable for $650. The amounts have been posted to the ledger. To correct this entry, the bookkeeper should:
A. debit cash $650 and credit unearned service revenue $650
B. debit account receivable $650 and credit service revenue $650
C. debit account receivable $650 and credit cash $650
D. debit account receivable $650 and credit unearned service revenue $650
Explanation / Answer
D. debit account receivable $650 and credit unearned service revenue $650
Related Questions
drjack9650@gmail.com
Navigate
Integrity-first tutoring: explanations and feedback only — we do not complete graded work. Learn more.