English
Tamil Nadu Board of Secondary EducationHSC Commerce Class 11

Give Journal entries for the following transactions and post them to Cash a/c and Sales A/c. 2017 Aug Particulars ₹ 10 Sold goods and cheque received but not - Accountancy

Advertisements
Advertisements

Question

Give Journal entries for the following transactions and post them to Cash a/c and Sales A/c.

2017 Aug. Particulars
10 Sold goods and cheque received but not deposited 30,000
14 Sold goods on credit to Gopi 12,000
20 Received cash from Gopi 12,000
Ledger

Solution

Journal Entries

Date Particulars L.F. Debit ₹ Credit ₹
2017
Aug. 10
Cash A/c ......Dr.
To Sales A/c
(Sold goods and cheques received but not deposited)
  30,000
-
-
30,000
14 Gopi A/c .....Dr.
To Sales A/c
(Sold goods for Gopi on credit)
  12,000
-
-
12,000
20 Cash A/c ...........Dr.
To Gopi A/c
(Cash received from Gopi)
  12,000
-
-
12,000

Cash Account

Dr.                                                                                                               Cr.

Date Particulars J.F. Date Particulars J.F.
2017       2017      
Aug. 10 To Sales A/c   30,000 Aug. 31 By Balance c/d   42,000
20 To Gopi A/c   12,000        
      42,000       42,000
Sep. 1 To balance b/d   42,000        

Sales Account

Dr.                                                                                                             Cr.

Date Particulars J.F. Date Particulars J.F.
2017       2017      

Aug. 31

To Balance c/d   42,000 Aug. 10 By Cash A/c   30,000
        14 By Gopi A/c   12,000
      42,000       42,000
        Sep. 1 By Balance b/d   42,000
shaalaa.com
Balancing of Ledger Accounts
  Is there an error in this question or solution?
Chapter 4: Ledger - Exercises [Page 78]

APPEARS IN

Samacheer Kalvi Accountancy [English] Class 11 TN Board
Chapter 4 Ledger
Exercises | Q IV 7. | Page 78

RELATED QUESTIONS

Write the word, term, phrase, which can substitute the statement.
 A debit balance to personal Accounts.


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.


What is meant by posting?


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

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  

Share
Notifications

Englishहिंदीमराठी


      Forgot password?
Use app×