Accountancy, asked by mohanaleo08, 1 year ago

The trial balance prepared by a book-keeper on 31-12-2008 showed excess credit of rs 240. This difference was transferred to suspence account . The following errors were found. Yoi are required ro pass journal entries to rectify these errors, prepare suspence a/c and show the effect on profit

Answers

Answered by aryansharma20
1
suspense account dr. to cash account
Answered by akanksha1059
1
suspense account to the cash account
Similar questions