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Question No 23 Chapter No 11 – USHA Publication 11 Class

Question No 23 Chapter No 11
Q-23 - CH-11 - USHA +1 Book 2020 - Solution

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Question No 23 Chapter No 11

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Miscellaneous Problems

23. Given below are the balance taken out from the books of Sanjana Shahi as on 31st March,2018.prepare trial balance

Ledger Account Balance RsLedger Account Balance Rs
Railways fright on sales19,000Annuity deposits32,000
Travelling expenses21,200Mortgage loan40,000
Unpaid rent 8,500Bills payables23,000
Factory rent 18,000Purchases of raw material56,000
Consumable stores4,100Sales of finished goods80,000
Coal, gas & water16,000Loss of finished goods2,000
Duty and clearing charges4,500Capital27,300
Petty cash 3,100Interest on capital1,800
Petty expenses 4,600Bad debts recovered 3,500

The solution of Question No 23 Chapter No 11: –

Trail Balance A/c 
Particulars
J.F.DebitCredit
Railway freight on sale 19,000 
Travelling expenses 21,200 
Unpaid rent  8,500
Factory rent 18,000 
Consumable stores 4,100 
Coal, gas & water 16,000 
Duty and clearing charges 4,500 
Petty cash 3,100 
Petty expenses 4,600 
Annuity deposits 32,000 
Mortgage loan  40,000
Bills payable  23,000
Purchases of raw material 56,000 
Sale of finished goods  80,000
Loss by embezzlement 2,000 
Capital  27,300
Interest on capital 1,800 
Bad debts recovered  3,500
  3,65,9003,65,900

 

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Trial Balance | Explanation | Methods | Examples

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Also, Check out the solved question of all Chapters: –

Usha Publication – Elements of Book-Keeping PSEB (Class 11) – Solution

Chapter No. 1 – Introduction

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Chapter No. 2 – Theory Base of Accounting 

Chapter No. 3 – Origin of Transactions

Chapter No. 4 – Vouchers and transactions

Chapter No. 5 – Journal

Chapter No. 6 – Accounting for Goods and Services Tax(GST)

Chapter No. 7 – Ledger

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Chapter No. 8 – Cash Book

Chapter No. 9 – Other Subsidiary Books

Chapter No. 10 – Journal Proper

Chapter No. 11 – Trial Balance

Chapter No. 12 – Bank Reconciliation Statement

Chapter No. 13 – Depreciation

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Chapter No. 14 – Provisions and Reserves 

Chapter No. 15 – Bills of Exchange

Chapter No. 16 – Rectification of Errors 

Chapter No. 17 – Financial Statements – (Without Adjustments)

Chapter No. 18 – Financial Statements – (With Adjustments)

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