Accountancy, asked by PRANAVTYAGI1903, 11 months ago

30 BUSINESS TRANSACTIONS WITH JOURNAL ENTRIES

Answers

Answered by meeryraj45
0

Answer:

cash account

to anees

furniture account

to cah account

purchase account

to cash account

to khalid retail store

cash account

khan brothers

to sales account

drawing account

to cash account

khalid rrtail store

to cash account

cash account

to khan brothers

salaries expenses

to cash account

how can make the ledger accounts

and trail balance

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