Accountancy, asked by mirabdulbased, 4 months ago

Enter the following transactions in the Journal and post them into ledger and from the information obtained prepare a Trail Balance.

Nov 10th : Mrs. Roy started business with 60,000
11th : Bought furniture from Modern Furniture for 10,000
12th : Purchased goods for cash 15,000
13th : Purchased goods from B. Sen & Co for 30,000
14th : Opened a bank account by depositing 16,000
16th : Sold goods for cash 15,000
17th : Purchased stationery for 1000 from Bharat Stationery Mart
18th : Sold goods to Zahir Khan for 10,000
19th : Bought machinery for 6,000 and payment made by cheque
20th : Goods returned by Zahir Khan for 2,000
21st : Payment to B.Sen & Co by cheque 5,000
22nd : Withdrew from bank for personal use 3,000
23rd : Interest paid through cheque 2,000
24th : Withdrew from bank for office expenses 10,000
26th : Cheque received from Zahir Khan 5,000
27th : Paid electricity bill for 100
29th : Cash sales for 6,000
30th : Commission received by cheque 5,000​

Answers

Answered by pakeezanoor044
1

kzvodafg has a problem in her life that she has never seen in her own way of two years in the measures she had been to say hota was

Answered by kd6924664
0

Answer:

sold goods to nazhir Kan 1000

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