2.Enter the transactions below into the appropriate Ledgers, balance up the Ledgers and extract trial balance 1996: Jan. 1: Started business with #7,500 Jan. 2 paid #3,500 of the opening cash into a bank account Jan. 3 Bought goods on credit from Ojo #135,Kayode ,#115,Mark #55 Jan. 4: Bought office equipment on credit from Peter #108 Jan. 6: Sold goods for cash,#501 Jan. 7: Sold goods on credit to Michael #24, Obi #53 Jan. 8: Bought motor Van paying by cheque#240 Jan. 10: We returned goods to Ajala #25; Kayode # 22 Jan. 12: We paid by cheque Ajala #110. need help with this please
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