Accountancy, asked by rajjain00ssssss, 6 months ago

Journalise the following transactions in the
books of Ms Madhu & post them to ledger Accounts & balance them.
2019 March

1. started business with the following:
Cash 10,000 Goods 20,000, furniture 10,000

6. Purchased goods from Asha on credit 10,000

7. Paid into bank 12000

9. Sold goods for cash8000

11. paid cash to Asha 9,800 in full settlement on her account

16. sold goods to Naveen on credit 20,000

20. purchased furniture & paid by Cheque 4000

23. Received cash from Naveen 19,500 & allowed him a discount of 500

26. Drew cash for office use 2000.

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Answers

Answered by Anonymous
7

Answer:

i hope it will help u mate❤❤

hope u can make ledger own ur own

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