Accountancy, asked by kudisweet8833, 7 months ago

Rectify the following errors assuming that a suspense account was opened
Ascertain the difference in trial balance.
(a) Credit sales to Arun 7,000 were posted to the credit of his account
(6) Credit purchases from Brij 9,000 were posted to the debit of his
as 6,000.
(C) Goods returned to Charu 4,000 were posted to the credit of her accoun
(d) Goods returned from Deepika 1,000 were posted to the debit of
account as 2,000.
(e) Cash sales 2,000 were posted to the debit of sales account as 5,000.​

Answers

Answered by kavyavyas53
0

Answer:

c. one is correct answer

this my help u

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