Accountancy, asked by prapti11062004, 5 months ago

(10) In March 2015 dese
But by mistake they are recorded on their opposite sides
Trial balance of Shri Marmik as on 31-3-15 does not tally and therefore a differ
1440 is credited to suspense account. The following errors are detected after
accounts are prepared.
(1) * 6490 received from Paresh is posted as 450 on the debit side of his account
(2) 3560 paid for repairing expenses were posted on the debit side of machinery
asť 1560
18
(3) Discount of 250 given by Palak is credited to his account as well as discount
account
(4) 24570 paid to Sureshbhai is debited to Maheshbhai's account as 2570.
(5) Total of purchase book is undercast by 1000.
(6) Purchase of furniture of 3670 debited to purchase account
To rectify the above errors. pass necessary rectification entries and prepare suspense
At the end of the year 2015. if profit and loss account discloses a profit of 78,600 23
the correct profit after the rectification of errors.
8. Trial balance of Shri Dinesh as on 31-3-15 does not tally. The difference is a
to suspense account in order to get it tallied, which is as under :
Debit Balance Amount (5)
Credit Balance
Drawings Alc
100.000 Capital Ale
Purchase AC
4,80,000 Sales Alc
Salary Ace
3,08,000 Jignesh's Ale
Building
2.24,000 Susnense Are
(8)​

Answers

Answered by ALEX2006
0

Answer:

i have no idea

Explanation:

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