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Question
Prepare necessary Ledger Accounts from the following Subsidiary Books.
Dr. | Purchase Book | Cr. | ||
Date | Particulars | Inward Invoice No. | L.F. | Amount (₹) |
2019 | ||||
Oct. 2 | Amol | 7,500 | ||
7 | Aishwarya | 2,400 | ||
11 | Vivek | 3,900 | ||
17 | Sheth | 6,500 | ||
27 | Shabari | 1,000 | ||
Total | 21,300 |
Dr. | Purchases Return Book | Cr. | ||
Date | Particulars | Debit Note No. | L.F. | Amount (₹) |
2019 | ||||
Oct. 10 | Aishwarya | 480 | ||
20 | Sheth | 650 | ||
28 | Shabari | 200 | ||
Total | 1,330 |
Ledger
Solution
In the Ledger of ______________
Dr. | Purchases Account | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 Oct. 31 | To Sundries as per purchases book | 21,300 | 2019 Oct. 31 | By Balance c/d | 21,300 | ||
21,300 | 21,300 |
Dr. | Purchases Return Account | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 Oct. 31 | To Balance c/d | 1,330 | 2019 Oct. 31 | By Sundries as per Purchases Return A/c | 1,330 | ||
1,330 | 1,330 |
Dr. | Amol's A/c | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 Oct. 2 | By Purchases A/c | 7,500 |
Dr. | Aishwarya's A/c | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 | 2019 Oct. 7 | By Purchases A/c | 2,400 | ||||
Oct. 10 | To Purchases Return A/c | 480 | |||||
Oct. 31 | To Balance e/d | 1,920 | |||||
2,400 | 2,400 |
Dr. | Vivek's A/c | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 Oct. 31 | To Balance c/d | 3,900 | 2019 Oct. 11 | By Purchases A/c | 3,900 |
Dr. | Sheth's A/c | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (₹) |
2019 | 2019 Oct. 17 | By Purchases A/c it | 6,500 | ||||
Oct. 20 | To Purchases Return A/c | 650 | |||||
Oct. 31 | To Balance c/d | 5,850 | |||||
6,500 | 6,500 |
Dr. | Shabari's A/c | Cr. | |||||
Date | Particulars | J.F. No. | Amt. (₹) | Date | Particulars | J.F. No. | Amt. (t) |
2019 | 2019 | ||||||
Oct. 28 | To Purchases Return A/c | 200 | Oct. 27 | By Purchases A/c | 1,000 | ||
Oct. 31 | To Balance c/d | 800 | |||||
1,000 | 1,000 |
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Specimen of Ledger
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Give Journal entries of the following posting from the ledger account:
In the books of Sopan Cash Account |
|||||||
Date | Particulars | J.F. | Amt (₹) | Date | Particulars | J.F. | Amt (₹) |
2019 | 2019 | ||||||
Feb. 1 | To balance b/d | 8,000 | Feb. 5 | By Telephone | 750 | ||
3 | To Sales A/c | 700 | Charges A/c | ||||
6 | To Interest A/c | 600 | 9 | By Purchases A/c | 800 | ||
8 | To Jayashree's A/c | 1,500 | 28 | By Balance c/d | 9,250 | ||
10,800 | 10,800 | ||||||
Mar. 1 | To Balance b/d | 9,250 |
|
Purchases Account | |||||||
Date | Particulars | J.F. | Amt (₹) | Date | Particulars | J.F. | Amt (₹) |
2019 Feb. 9 | To Cash A/c | 800 | 2019 Feb.28 | By Balance c/d | 800 | ||
800 | 800 | ||||||
Mar. 1 | To Balance b/d | 800 |
Jayashree's Account | |||||||
Date | Particulars | J.F. | Amt (₹) | Date | Particulars | J.F. | Amt (₹) |
2019 | 2019 Feb. 8 | By Cash A/c | 1,500 | ||||
Feb. 15 | To Sales A/c | 5,000 | 28 | By Balance c/d | 3,500 | ||
5,000 | 5,000 | ||||||
Mar. 1 | To Balance b/d | 3,500 |