Answer and Explanation:
The preparation of the trial balance is presented below:
Particulars Debit Credit
Cash 37250
Accounts Receivable 4950
Office Supplies 700
Equipment 11000
Accumulated
Depreciation - Equipment 1800
Land 26000
Accounts Payable 3700
Utilities Payable 150
Unearned Revenue 900
Common Stock 22600
Dividends 14000
Service Revenue 75000
Salaries Expense 5600
Depreciation
Expense - Equipment 1900
Supplies Expense 1100
Utilities Expense 1650
Total 104150 104150