Rectify the following errors assuming that suspense account was opened. Ascertain the difference in trial balance.
(a) Credit sales to Mohan 7,000 were recorded in Purchase Book. However, Mohan's account was correctly debited
(b) Credit purchases from Rohan 9.000 were recorded in sales book. However, Rohan's account was correctly credited.
(c) Goods returned to Rakesh 4,000 were recorded in sales return book. However, Rakesh's account was correctly debited.
(d) Goods returned from Mahesh 1,000 were recorded through purchases return book. However, Mahesh's account was correctly credited.
(e) Goods returned to Naresh 2,000 were recorded through purchases book. However, Naresh's account was correctly debited.
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