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Question
At the time of dissolution of partnership firm, the amount of 'Bills Payable' shown in the Liabilities Side of the Balance Sheet is transferred to:
Options
Capital Accounts of Partners
Realisation Account
Cash Account
Loan Account of Partners
MCQ
Solution
Realisation Account
Explanation:
The amount of 'Bills Payable' recorded in the Liabilities side of the Balance Sheet is transferred to the credit side of the realisation account at the moment of dissolution of a partnership firm.
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