Accountancy, asked by shaikhanam75, 6 months ago

Q.9.
From the following transactions Preparc Sakshis A/c in the books of Nancy.
2011 April
1. Sakshis A/c shows credit balance in the books of Nancy 1,000.
3. Returned goods to Sakshi on credit *500.
5. Purchased goods on credit from Sakshi 3,000.
6. Paid cash to Sakshi 800.
10. Received cash from Sakshi * 2,000.
15. Returned goods to Sakshi 700.
30. Paid 3,700 in full settlement of her account.

Answers

Answered by drunkenmaster76
0

Answer:

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Answered by nisaradharoo
0

Answer:

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Explanation:

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