Question 10 Chapter 6 – Unimax Publications of Class 11

Question 10 - CH-6 Solution
Question 10 - CH-6 Solution

Question 10 Chapter 6 – Unimax

10. Is the following account correctly prepared? If not, prepare it correctly?

CASH ACCOUNT

Date Particulars Amount Date Particulars Amount
2020     2020    
Jan. 5 To Neha (Cash purchases) 2,000 Jan. 1 By balance b/d 8,000
Jan. 10 To Furniture A/c (Furniture purchased) 3,300 Jan. 6 By Gurpreet (Commission paid) 8,200
Jan. 16 To Anchal (Credit sale) 6,000 Jan. 9 By Sales Account(Cash Sales) 5,500
Jan. 25 To Rent A/c (Rent Received) 600      
Jan. 31 To balance c/d 9,800      
           
    21,700     21,700

The solution of Question 10 Chapter 6 – Unimax : –

Date Particulars Amount Date Particulars Amount
2020     2020    
Jan. 1 To Balance b/d 8,000 Jan. 5 By Purchase A/c 2,000
Jan. 9 To Sale A/c 5,500 Jan. 6 By Commission A/c 8,200
 Jan. 25 To Rent A/c 600  Jan. 10 By Furniture A/c 3,300
      Jan. 31 By Balance c/d 600
           
    14,100     14,100
           
  To Balance b/d 600      

This is all about the question 10 Chapter 6 – Unimax. You can check out the following article to better understand:

Ledger balancing or Closing of ledger account | Ledger

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Ledger balancing or Closing of ledger account | Ledger – In Hindi

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Advanced Accountancy – Unimax Class 11 – 2021 – Solution.

Part-I

  • Chapter No. 1 – Introduction of Accounting
  • Chapter No. 2 – Theory Base of Accounting
  • Chapter No. 3 – Vouchers and Transactions
  • Chapter No. 4 – Journal
  • Chapter No. 5 – Goods and Services Tax (GST) : An Introduction
  • Chapter No. 6 – Ledger
  • Chapter No. 7 – Special Purpose Book – Cash Book
  • Chapter No. 8 – Other Subsidiary Books
  • Chapter No. 9 – Trial Balance
  • Chapter No. 10 – Rectification of Errors
  • Chapter No. 11 – Depreciation
  • Chapter No. 12 – Provision and Reserves
  • Chapter No. 13 – Bank Reconlciliation Statement
  • Chapter No. 14 – Bills of Exchange

Students may Choose only one part from the Part II and Part III

Part-II

  • Chapter No. 15 – Financial Statements (Without Adjustments)
  • Chapter No. 16 – Financial Statements (With Adjustments)
  • Chapter No. 17 – Accounts from Incomplete Records – Single Entry System

Part-III

  • Chapter No. 18 – Introduction to Compurters and Accounting information System
  • Chapter No. 19 – Computerised Accounting
  • Chapter No. 20 – Accounting Software : Tally
  • Chapter No. 21 – Data Base System
  • Chapter No. 22 – Concept of Entity and Relationship

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