Accountancy, asked by dk2350309, 1 year ago

form the following transaction of s. kumar write suitable cash book with proper rolling and bring down the balance at the end of the month: 1( balance at bank) (balance in hand) 2 . withdraw cash for office 3. drew a check for personal use 4.cash sales 6 number purchase stationery 7 received cheque from x which was sent to bank ate cash sales to why company 9 received cash from and company 10 Bank charge incidental expenses.​

Answers

Answered by nisha7533
9

Explanation:

entry (2) is contradictory entry because cash withdrew from bank

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