Which of the following would prevent your Trial Balance from being “in balance?
- A debit balance of $75 on the Salaries account has been incorrectly posted in the trial balance as $750 debit
- Sale of goods for $1000 to Epson Inc. on credit has been completely omitted from the books of accounts
- A debit balance of $10000 in the Cash account has been posted to the trial balance as a debit balance of $10000 in the Machinery account
- A debit balance of $10000 in the Cash account has been posted to the credit column of the trial balance. At the same time, a credit balance of $10000 in the Mortgage bonds account has been posted to the debit column of the trial balance