
Question No 30 Chapter No 16 Credit Balance in Suspense Account 30. Rectify the following errors in the books of Avadh Bihari: (i) Purchase of goods form Raza Murad for Rs 25,000 plus 9% CGST and 9% SGST was recorded in Read More …
Question No 30 Chapter No 16 Credit Balance in Suspense Account 30. Rectify the following errors in the books of Avadh Bihari: (i) Purchase of goods form Raza Murad for Rs 25,000 plus 9% CGST and 9% SGST was recorded in Read More …
Question No 29 Chapter No 16 Credit Balance in Suspense Account 29. How would you rectify the following errors discovered after preparation of trial balance? (a) An amount of 30 representing cash discount allowed by J.J. Singh on payment of his Read More …
Question No 28 Chapter No 16 Credit Balance in Suspense Account 28. The following mistakes were located in the book of concern after it closed the account books and a suspense Account was opened in order to get the trial balance Read More …
Question No 27 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 27. Pass the rectification entries and show the suspense account in the books of a partnership firm, from the following particulars Read More …
Question No 26 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 26. You are presented with a Trial Balance showing a difference of 500 (i.e., credit exceeds debit) which has been carried Read More …
Question No 25 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 25. There were errors in the trial balance of Aanchal Arora on 31st December 2017and the different of Rs 15,800 in Read More …
Question No 24 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 24. Ganesh Kumar drew a trial balance of his operations for the year ended 31.3.2018. There was a difference in the Read More …
Question No 23 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 23. The Book-Keeper of Amritsar Fast Food Centre having failed to agree the Trial Balance transferred the excess of credit over Read More …
Question No 22 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 22. You are required to rectify the following errors in the books of Kamal with suspense account. (a) Income tax paid Read More …
Question No 21 Chapter No 16 Recertification after the Preparation of Trail Balance but before Final Account Single Account Errors 21. The trial balance of Royal Enterprises did not agree on 31-3-2018. the different was put into the suspense account. Subsequently, Read More …