Answer to Question #292124 in Accounting for Braicmg

Question #292124

Show the journal entries needed to correct the following errors:

(a) Purchases £1,410 on credit from A Ray had been entered in B Roy’s account.

(b) A cheque of £94 paid for printing had been entered in the cash column of the cash book

instead of in the bank column.

(c) Sale of goods £734 on credit to D Rolls had been entered in error in D Rollo’s account.

(d) Purchase of goods on credit L Hand £819 entered in the correct accounts in error as £891.

(e) Cash paid to G Boyd £64 entered on the debit side of the cash book and the credit side of

G Boyd’s account.

(f ) A sale of fittings £320 had been entered in the Sales account.

(g) Cash withdrawn from bank £200 had been entered in the cash column on the credit side of

the cash book, and in the bank column on the debit side.

(h) Purchase of goods £1,182 has been entered in error in the Furnishings account.


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Expert's answer
2022-02-01T06:56:09-0500

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