Accountancy, asked by prabhkaur2201, 4 months ago

Find out
UI errors.
25.7
26. T
27.7
28. T
29. S
29. How would you rectify the following errors discovered after preparation of trial balance
(a) An amount of 30 representing cash discount allowed by S. Chand on payment of
account stands debited to his account in the ledger, but is not shown in the discount
(6) An item 400 for purchase of office furniture has been passed through purchase bori
(c) An amount of 210.30 for a credit sale to Ramesh although correctly entered in the
(d) A credit purchase of goods amounting to 250 from Santosh has been omitted to
passed through the invoice book, but the payment made subsequently stand debit
Also prepare Suspense Account.
column against payment entry in the cash book.
sales book has been wrongly posted as 230.10.
to his account.
A credit purchase of goods for 3 19.20 from Manoj Kumar correctly entered in im
book has been wrongly posted as 13.80 to the credit of Manoj Kumar.​

Answers

Answered by sanjayyamgar348
2

Answer:

gaa ahah ahqba hwhw ahqha habqa ahqba avqhqb ahahqa gaqhaj

Explanation:

baha ahaba aahaba ahan auanamaoqja lalqa aoqpqla aipqq

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