30 BUSINESS TRANSACTIONS WITH JOURNAL ENTRIES
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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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