Accountancy, asked by namankumar2804pdpkyn, 10 months ago

a cheque of ₹200 recieved from pc joshi had been dishonoured and was debited to the 'printing and stationery account' . rectify the entry (FULL ANSWERE IS REQUIRED Please I need all entries including wrong one and the correct one )

Answers

Answered by karora1496
14
correct entry.......
pc joshi a/c Dr. 200
To Bank a/c 200

wrong entry.....
printing & stationary a/c Dr. 200

rectifying entry.....
pc joshi a/c Dr. 200
To printing & stationary a/c 200

karora1496: mark it brainliest
namankumar2804pdpkyn: I can't because you are the only one who answered my question so there is no brainliest required
Answered by madhu4772003
3

Answer:

Correct entry:

p. c. joshi a/c dr. 200

To Bank a/c. 200

wrong entry:

printing and stationery a/c dr. 200

To p.c. Joshi a/c. 200

Rectified entry:

P.c. Joshi a/c Dr. 200

To Allowances a/c. 200

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