It isn't very clear to me what I'm supposed to do. I've learned
how to do trial balance & financial statements but when I add
things up here they clearly don't match. However, the ones where
they only post on one side my answers are right and where I get
postings on both sides my answers are incorrect. 
| Cash | |||
| Dr | Cr | ||
| $ 510.00 | $ 8,890.00 | ||
| $ 820.00 | $ 505.00 | ||
| $ 9,100.00 | $ 6,885.00 | ||
| $ 5,460.00 | |||
| $ 10,645.00 | |||
| Bal | $ 10,255.00 | ||
| Accounts Payable | |||
| Dr | Cr | ||
| $ 1,750.00 | $ 6,870.00 | ||
| $ 505.00 | $ 2,550.00 | ||
| $ 6,885.00 | |||
| Bal | $ 280.00 | ||
Is this correct?
It isn't very clear to me what I'm supposed to do. I've learned how to do...