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Rectify the following errors by passing Journal entries:

(i) A sum of ₹ 470 received from Ganga was posted to her debit as ₹ 740.

(ii) A debit balance of ₹ 550 in the personal account of Mr. John was undercast.

(iii) Cheque from Brown for ₹ 3,000 posted to the credit of Expenses Payable Account and credited to Brown’s Account.

(iv) Goods returned by Mridul ₹ 225 have been entered in the Returns Outward Book.

Anurag Pathak Changed status to publish October 1, 2023
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