Question
2. Show the Ledger accounts and journal entries with suitable narration, how you would correct the following errors, assuming that a Suspense account has been
2. Show the Ledger accounts and journal entries with suitable narration, how you would correct the following errors, assuming that a Suspense account has been prepared. a. A cheque for S$50 received from B Bull had been debited in the Cash Book and also debited in B Bulls account. b. Goods sold on credit to A Chan, to the value of S$1,000 have been correctly entered in the Sales Book but has been posted to A. Chans account as S$900. c. The purchase of Office Equipment, valued at S$200 from B Song on credit had been posted to the debit of Purchases account and to the credit of B. Songs account.
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