Record the rectification entry for the following transactions:
Credit sales to Rajni 5,000 recorded in Purchases book:
This is an error of ..........................................
State the wrong entry recorded in the book of accounts
Correct effect should have been:
The rectification entry will be:
State the wrong entry recorded in the book of accounts
Purchase A/c Dr. | 5,000 | |
To Rajni's A/c | 5,000 |
Correct effect should have been:
Rajni's A/c Dr. | 5,000 | |
To Sales A/c | 5,000 |
The rectification entry will be:
Rajni's A/c Dr. | 10,000 | |
To Sales A/c | 5,000 | |
To Purchases A/c | 5,000 |
Read the following transactions and identify the cause of difference on the basis of time gap or errors made by business firm/bank. Put a sign (✓) for the correct cause.
S. No. | Transactions | Time Gap | Errors made by business/ bank |
1.
3. 4. 5. |
Cheque issued to customer but not presented for payment. Cheque amounting to Rs. 5,000 issued to Interest credited by the bank but yet not recorded by Cheque deposited into the bank but not yet collected Bank charges debited to firm's current account by the |
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Welcome to the NCERT Solutions for Class 11 Accountancy - Chapter . This page offers a step-by-step solution to the specific question from Excercise 21 , Question 1: Record the rectification entry for the following transactions: Credit sales to Rajni 5,000 r....
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