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Question

Pass Journal entries to rectify the errors in the following cases:
(i) A purchase of goods from David amounting to ₹ 150 has been wrongly passed through the Sales Book.
(ii) A credit sale of goods of ₹ 120 to Peter has been wrongly passed through the Purchases Book.
(iii) ₹ 200, salary paid to Cashier, Bimal, stands wrongly debited to his Personal Account.
(iv) A credit sale of ₹ 4,230 to Krishan entered as purchase from Kishan ₹ 4,320.
(v) Ramesh's Account was credited with ₹ 840 twice instead of once.

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Solution

Journal

Date

Particulars

L.F.

Debit

Amount

(₹)

Credit

Amount

(₹)

(i)

Purchases A/c

Dr.

150

Sales A/c

Dr.

150

To David

300

(Purchase of Goods from David was wrongly passed through Sales Book, now rectified)

(ii)

Peter

Dr.

240

To Sales A/c

120

To Purchases A/c

120

(Sale of goods to Peter was wrongly passed through Purchases Book, now rectified)

(iii)

Salaries A/c

Dr.

200

To Bimal

200

(Salary paid to Bimal was passed wrongly to his account, now rectified)

(iv)

Krishan
Kishan

Dr.
Dr.

4,230
4,320

To Sales A/c
To Purchases A/c

4,230
4,320

(Sales to Krishan recorded wrongly as purchases from Kishan with a wrong amount, now rectified)

(v)

Ramesh

Dr.

840

To Suspense A/c

840

(Amount twice Credit to Ramesh’s Account, now rectified)


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