This page provides feedback and instructions for preparing a post-closing trial balance for Tech Head Accounting Practice Set. The trial balance is prepared as a final check that closing entries have been journalised and posted correctly. The page includes a table with account numbers, names, debit and credit amounts for various accounts such as Cash at Bank, Accounts Receivable Control, Inventory, Prepaid Rent, Prepaid Advertising, Prepaid Insurance, Cash Registers, Accumulated Depreciation, Accounts Payable Control, Wages Payable, Electricity Payable, Water Payable, Interest Payable, Bank Loan Payable, Share Capital, and Retained Earnings.