Balance Sheet Below is the balance sheet for Labyrinth Services Co., which contains errors. Labyrinth Services Co. Balance Sheet For the Year Ended August 31, 2019 Assets Current assets: Cash Accounts payable Supplies Prepaid insurance $17,300 23,600 7,900 14,100 173,900 Land Total current assets $236,800 Building $363,600 82,200 611,900 $848,700 Total assets Liabilities Accounts receivable Accumulated depreciation-building Accumulated depreciation-equipment $39,300 149,700 24,300