At year-end, a trial balance showed total credits exceed total debits by $6,050. This difference could have been caused by:
A) The balance of $60,500 in Accounts Payable being entered in the trial balance as $6,050.
B) An error in the general journal where a $6,050 increase in Accounts Payable was recorded as a decrease in Accounts Payable.
C) A net income of $6,050.
D) The balance of $6,820 in the Office Equipment account being entered on the trial balance as a debit of $770.
E) An error in the general journal where a $6,050 increase in Accounts Receivable was recorded as an increase in Cash.