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प्रश्न
State whether the following statements are ‘True or False’ with reasons.
Balances of Nominal Accounts are carried forward to the next year.
पर्याय
True
False
उत्तर
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संबंधित प्रश्न
Write the word, term, phrase, which can substitute the statement.
A debit balance to personal Accounts.
Write the word, term, phrase, which can substitute the statement.
A credit balance to bank Account.
Select appropriate alternatives from those given below and rewrite the sentence.
In case of a credit transaction one of the account must be a …………….account
Select appropriate alternatives from those given below and rewrite the sentence.
_____________ is prepared to test arithmetical accuracy of Books of Accounts.
Fill in the blank:
___________ accounts are closed by transferring its balances to Profit and Loss Account.
Complete the following table:
Land & Building | Real Account |
Commission Received | ? |
The process of finding the net amount from the totals of debit and credit columns in a ledger is known as ____________.
The amount brought into the business by the proprietor should be credited to __________.
What is debit balance?
What is credit balance?
What is the balancing of an account?
Explain the procedure for balancing a ledger account.
Pass journal entries for the following transactions and post them to the ledger.
2017 Aug. | Particulars | ₹ |
1 | Dharma started business with cash | 70,000 |
6 | Cash received from Ganesan | 10,000 |
10 | Rent paid | 3,000 |
20 | Received commission from Anand | 5,000 |
The following balances appeared in the books of Vinoth on Jan 1, 2018
Assets | ₹ | Liabilities | ₹ |
Cash | 40,000 | Amount due to Vijay | 10,000 |
Stock | 50,000 | ||
Amount due from Ram | 20,000 | ||
Machinery | 40,000 |
Pass the opening journal entry and post them to Vinoth’s Capital account.
Prepare Furniture A/c from the following transactions.
2016 Jan | Particulars | ₹ |
1 | Furniture in hand | 2,000 |
1 | Purchased furniture for cash | 4,000 |
30 | Sold furniture | 400 |
The following balances appeared in the books of Kumaran on April 1, 2017.
Assets | ₹ | Liabilities | ₹ |
Cash | 1,00,000 | Amount due to Anush | 40,000 |
Stock | 40,000 | Kumaran’s capital | 1,20,000 |
Amount due from Rohit | 10,000 | ||
Furniture | 10,000 |
Find the capital and show the ledger posting for the above opening balances.
Enter the following transactions in the books of Ganesan and post them into ledger.
2017 Oct | Particulars | ₹ |
1 | Started business with cash | 25,000 |
5 | Deposited into bank | 12,500 |
10 | Purchased furniture and payment by cheque | 2,000 |
15 | Goods purchased for cash | 5,000 |
19 | Sold goods to Vasu on credit | 4,000 |
22 | Goods worth has taken for personal use | 500 |
Journalise the following transactions in the books of Vasu and post them to ledger accounts.
2017 Nov | Particulars |
1 | Cash in hand ₹ 1,00,000; Cash at bank: ₹ 30,000 |
2 | Vasu sold goods to Jothi for ₹ 25,000 against a cheque and deposited the same in the bank |
4 | Received as commission ₹ 5,000 |
8 | Bank paid ₹ 15,000 directly for the insurance premium of Vasu. |
15 | Cash deposited into bank ₹ 30,000 |
20 | Cash withdrawn from bank for personal use ₹ 45,000. |
Show the direct ledger postings for the following transactions:
2017 June | Particulars |
1 | Raja commenced business with cash ₹ 50,000 |
6 | Sold goods for cash ₹ 8,000 |
8 | Sold goods to Devi on credit ₹ 9,000 |
15 | Goods purchased for cash ₹ 4,000 |
20 | Goods purchased from Shanthi on credit ₹ 5,000 |
Put ‘4’ mark for the nature of balance for the following.
Account | Dr. Balance | Cr. Balance |
1. Capital A/c | ||
2. Goodwill | ||
3. Bank Overdraft | ||
4. Bills Receivable | ||
5. Creditors | ||
6. Drawings | ||
7. Advertisement | ||
8. Prepaid Rent | ||
9. Outstanding Salary | ||
10. Bad debts |