The suspense account showed a debit balance of $450. What had led to this balance appearing in the suspense account?
- Amotor expenses of $225 correctly entered in the cash book and posted to motor expenses as a credit
- Bmotor expenses of $225 entered in the cash book as a receipt and posted to motor expenses as a credit
- Cmotor expenses of $450 correctly entered in the cash book and posted to motor vehicles as a debit
- Dmotor expenses of $675 entered in the cash book as a credit of $225 and posted to motor expenses as a debit of $225