A business trial balance failed to agree, so a suspense account was opened. The errors below were subsequently found. 1. The sales journal total of $9150 had been posted as a credit in both the sales account and the sales ledger control account. 2. The purchases journal total of $3450 had been recorded correctly in the purchases account, but as $3350 in the purchases ledger control account. 3. Motor expenses of $6450 paid by cheque had been recorded only in the bank account. What opening balance should the suspense account have?
- A$15700 credit
- B$15700 debit
- C$24650 credit
- D$24650 debit