1.

Which of these errors would be disclosed by the Trial Balance and why:

Answer»

CHEQUE of Rs. 9,500 from Vikas entered in Vikas's Account as Rs. 5,900,
Selling EXPENSES have been debited to Sales Account,
Credit sales of Rs. 3,000 entered in both the ACCOUNTS as Rs. 300,
A purchase of Rs. 2,500 was omitted ENTIRELY from the books?

Solution :(i) Because wrong amount has been entered although in the correct account.


Discussion

No Comment Found

Related InterviewSolutions