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Question 3 Chapter 10 – Unimax Publications of Class 11

Question 3 Chapter 10 – Unimax Publications of Class 11

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Question 3 Chapter 10 – Unimax Publications of Class 11

Give the necessary entries to correct the following errors:

  1. ₹ 520 received from H has been posted to the credit of T account.
  2. New machinery costing ₹ 6,000 has been debited to machinery repair account.
  3. Private expenses of ₹ 100 have been posted to office expenses account

The solution of Question 3 Chapter 10 – Unimax Publications of Class 11

Journal

Date  ParticularsL.F.DebitCredit
      
(a)T’s A/cDr. 520 
 To H’s A/c   520
 (Being cash received from H wrongly posted to credit of T’s a/c, now rectified)    
      
(b)Machinery A/c  Dr.  6,000 
 To Repair A/c   6,000
 (Being new machinery purchases, debited to repairs a/c, now rectified)    
      
(c)Drawing A/cDr. 100 
 To Office expenses A/c   100
 (Being private expenses posted to office expenses a/c, now rectified)   

 

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