checking 1-5, indicate whether each of the following errors affects the totals of the trial balance and if they require a correcting entry. write yes or no for each one.

1. The balance of Cash in Bank was incorrectly calculated and understated by $200.
2. A $200 credit to Service Fees in the general journal was posted as $2,000.
3. A check for $400 received from a charge customer was not journalized.
4. A $210 payment for the electric bill was credited to Cash in Bank as $120.
5. A $100 check received from a customer was journalized as debit to Cash in Bank but was not posted to the Cash in Bank account.

which errors affect the trial balance? which one needs a correcting entry?
is it...

1st is if the error affects the trial blance and 2nd is if it needs entry correcting

1. yes/no
2. yes/no
3. yes/yes
4. yes/no
5. no/no