rectify the following errors by entries and show the suspense account?
1. an itemof Rs.2580 paid for purchase of a typewriter has been wrongly passed through the pruchase day book.
2.an item of Rs.570.75 in sales day book has been posted as Rs.750.75 in the pseronal ledger account.
3.return inward bok as been cast Rs.330 short.
4. an item of Rs.55 appearing inthe discount column on the credit side of the cash book has been posted to the credit side of personal account as Rs.85.
5.a bill receivable for Rs.2,300 accepted by X and later on discounted with the back has been dishonoured. on the dishonour this amount has been debited to sales acount and credited to bank account..
6.goods sold fror Rs.1,800 to S.K. Dev were debited to M.K.Dev's account.
7. goods purchased from N.Sen amounting to Rs.480 have beenposted to the debit of his account as Rs.4.80 from the purchase day book.
8. a cheque for Rs.150 received from Ghosh & Sons had been posted the sales ledger accountas Rs.510.
2006-12-28
05:16:09
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2 answers
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asked by
avijit
1
in
Education & Reference
➔ Higher Education (University +)