While in the process of posting from the journal to the ledger a company failed to post a $500 debit to the Office Supplies account. The effect of this error will be that:
A.
The Office Supplies account balance will be overstated.
B.
The error will overstate the debits listed in the journal.
C.
The error will overstate the credits listed in the journal.
D.
The trial balance will not balance.