Accountancy, asked by rishabhbhattacp356lm, 1 year ago

3. Journalise the following transactions in the books of Ashok General Stores.
2019
May 1 Received 5,000 from Ram on behalf of Bharat.
4 Purchased Goods for cash * 55,000.
8 Paid for Salary * 8,000.
12 Purchased goods from Ganesh * 30,000 on credit.
17 Sold goods to Mrs. Neha * 60,000 on credit.
20 Purchased Machinery of * 80,000 @ 12% GST and amount paid by cheque.
25 Paid to SG & Sons by cheque * 30,000.
28 Received Commission 10,000 from Ganesh.
30 Paid Rent * 5000.
31 Purchased Shares of Atul Company Ltd. for 3 10,000 through Demat account
.
AL anlarse​

Answers

Answered by sharvanikulkarni
91

Answer:

see the attachment... .

Attachments:
Answered by shindeprachi789
0

Explanation:

journalise the following transaction in the books of book of ashore general stores

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