Accountancy, asked by Anonymous, 1 day ago

(i) A purchase of ` 4,700 from M/s Timber & Co. was recorded in the accounts of M/s Ginger & Co. as ` 7,400. Day Book entry has also been passed incorrectly.
(ii) A sale of ` 9,500 to M/s Aman Bros. was recorded in M/s Manan Bros account as ` 5,900. Day Book entry has also been incorrectly passed.
(iii) A cheque of ` 6,400 drawn by M/s Aman Bros. has been dishonoured, but wrongly debited to M/s Manan Bros.

rectify the following errors​

Answers

Answered by AllenGPhilip
7

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