Accountancy, asked by sidsampakal46, 9 months ago

Rectify the Following errors
1) Wages paid for construction of Building # 10,000/- was wrongly debited to Wages Account.
2) Cash received from Patel * 5,000/- though recorded in Cash Book was not posted to his
personal account in the Ledger.
3)
Sold goods worth * 9,000/- to Rohini has been wrongly debited to Mohini's Account.
5) Material purchased for construction of Building was debited to Purchase Account 5,000/-​

Answers

Answered by caatulsinghparihar
4

Explanation:

1.Building a/c. Dr. 10000

To wages a/c. 10000

2.Suspance a/c. Dr. 5000

To Patel's a/c. 5000

3.Rohini's a/c. Dr. 9000

To Mohini's a/c. 9000

4.Building a/c Dr. 5000

To Purchase a/c. 5000

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