Question

Accountants at Amalgamated Corporation incorrectly journalized a $50,000 equipment purchase as a debit to Buildings. This error was not discovered before the journal entry was posted. What is the correcting entry?
A. Debit Buildings and credit Equipment for $50,000 each.
B. Debit Equipment and credit Buildings for $50,000 each.
C. Debit Buildings and credit Equipment for $100,000 each.
D. Debit Equipment and credit Buildings for $100,000 each.
E. Debit Equipment for $100,000 and credit Buildings for $50,000.

Answer

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