Advertisements
Advertisements
Question
The following error were located at the time of preparing trial balance. Rectify them.
Goods of ₹ 400 purchased from Ramesh on credit were wrongly credited to Ganesh’s account.
Solution
Particulars | L.F. | Dr. (₹) | Cr. (₹) |
Ganesh A/c Dr. To Ramesh A/c (Wrong credit rectified) |
400 |
400 |
APPEARS IN
RELATED QUESTIONS
The following error were located by the accountant before the preparation of trial balance. Rectify them.
The total of the discount column of ₹ 1,100 on the debit side of the cash book was not yet posted.
The following error were located by the accountant before the preparation of trial balance. Rectify them.
Purchased goods from Anbuchelvan on credit for ₹ 700 were posted to the debit side of his account.
The following error were located by the accountant before the preparation of trial balance. Rectify them.
Sale of goods to Ponmukil on credit for ₹ 78 was posted to her account as ₹ 87.
The following error were located by the accountant before the preparation of trial balance. Rectify them.
The total sales return book of ₹ 550 was posted twice.
Rectify the following error which were located before preparing the trial balance.
Goods purchased for ₹ 200 were posted as ₹ 2,000 to the purchases account.
Rectify the following error which were located before preparing the trial balance.
The sales book was overcast by ₹ 1,500.
The accountant of a firm located the following error after preparing the trial balance. Rectify them assuming that there is a suspense account.
Machinery purchased for ₹ 3,500 was debited to the purchase account.
The accountant of a firm located the following error after preparing the trial balance. Rectify them assuming that there is a suspense account.
₹ 1,800 paid to Raina as salary was debited to his personal account.
The accountant of a firm located the following error after preparing the trial balance. Rectify them assuming that there is a suspense account.
Goods worth ₹ 1,800 purchased from Amudhanila on credit was not recorded in the books of accounts.
The accountant of a firm located the following error after preparing the trial balance. Rectify them assuming that there is a suspense account.
Used furniture sold for ₹ 350 was credited to the sales account.