1.

The Trial Balance of M/s. Gupta & Sons shows a difference of ₹ 52,200. To prepare the Final Account on 31st March, 2009, this difference is placed in a Suspense Account. Afterwards the following errors were disclosed. Pass the necessary entries to rectify them and show the Suspense Account. (i) Purchases Book total had been undercasted by ₹ 20,000. (ii) A cheque received from Vasudev for ₹ 7,800 had been debited in the Cash Book but not posted in Vasudev’s Personal Account. (iii) Returns Outward Book had been overcasted by ₹ 10,000. (iv) Goods returned by Yash Pal worth ₹ 15,000 have been entered in Returns Outward Book. However, Yash Pal’s Account is correctly posted.

Answer»

A TRIAL BALANCE is a list of all the GENERAL LEDGER accounts (both revenue and capital) contained in the ledger of a BUSINESS. This list will contain the name of each nominal ledger account and the value of that nominal ledger balance. Each nominal ledger account will hold either a debit balance or a credit balance.



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