The trial balance of Saya Ltd. shows a difference of Rs. 680, being excess credit. To
prepare the final accounts, this difference is placed in a suspense account. Afterwards
following errors were disclosed. Pass necessary entries to rectify them and prepare the
suspense account. [6]
(i) The total of purchases book has been undercast by Rs. 350.
(ii) A cheque of Rs. 70 received from Gopal, had been debited in the cash book but
not posted in Gopal’s personal account.
(iii) Sales book has been overcast by Rs. 120.
(iv) Goods returned by Kamal Rs. 140, have been entered in the returned outward
book. However, Kamal’s account is correctly posted.
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this is too long sorry and thank for free points
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