Accountancy, asked by sauravkrsingh17, 7 months ago

(KVS 2006
(iv)
Pas
the
(ii) Furniture worth 5,000 purchased from X on credit omitted from being recorded
(1) 500 spent on building repairs has been debited to the Building Account
(iv) Goods purchased from Mohan for 5,000 was passed through Returns Inward Burk
(vi) Bills payable of * 5,000 accepted in favour of Murari, was passed through bi
(1) A purchase of goods from David amounting to 150 has been wrongly passed throu
(ii) A credit sale of goods of * 120 to Peter has been wrongly passed through to
() Cash received
26. How will you rectify the following errors?
the books.
(iii) Total of Returns Inward Book was added by * 200 instead of * 250.
(v) Goods returned to Ram was passed through Sales Book.
receivable book with 500 but Murari's account was correctly debited
27. Pass Journal entries to rectify the errors in the following cases:
the Sales Book.
31. Tri
dif
er
(
Purchases Book.
(ii) 200, salary paid to Cashier, B. Naidu, stands wrongly debited to his Personal Aeon
(iv) A credit sale of 4,230 to Krishan entered as purchase from Kishan 4,320.
(U) Ramesh's Account was credited with 840 twice instead of once.
[Hint: (iv) Dr. Krishan: * 4,230; Kishan: 4,320.
Cr. Sales A/c: 4,230; Purchase A/c: * 4,320.]
32.
1.​

Answers

Answered by Anonymous
2

Answer:

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