Accountancy, asked by as1698201anmol, 11 months ago


Q4Give rectifying entries for the following:
G A credit purchase of goods from Radheshyam amounting to 2,000 has been wrongly
passed through the 'Sales Book.'
A credit sales of goods to Hare Ram for 5,000 has been wrongly passed through the
Purchases Book'.
(iii) A return of goods worth 1,000 by a customer were entered in Purchases Return Book
(iv) A return of goods worth 2,200 to Manmohan was passed through the 'Sales Returns Book.
Q5. Make the necessary Journal entries to rectify the following errors :
(i) The trader withdrew 200 for personal use but wrongly debited to Trade Expenses Ale.
0 purchased from Swami Nandan were wrongly shown in the Sales
Book.
(iii) 50 received from Manthan & Co. credited to Lawly & Co.
(iv) Contractor's Billfor2.750 for expansion of building has been charged to Repairs Account
(v) The sale of goods to Sapan for 850 has been entered through Purchases Book as 800.
Q6. Pass necessary Journal entries to rectify the following errors:
(i) Office furniture purchased for * 1,450 debited to Purchases A/c.
(ii) 400 paid for Repairs charged to Building A/c.
(iii) Goods of * 1,500 purchased from Murli have not been passed through the books at
although included in the Stock.

Answers

Answered by sohailahmadgpj
3

Explanation:

this is a double error so there will be one debit two credit or two debit one credit

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