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2. Which of the following would correctly explain why the payables payment period has Audit and assurance increased from 45 days in 207 to 66

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2. Which of the following would correctly explain why the payables payment period has Audit and assurance increased from 45 days in 207 to 66 days in 20X8? A. Chelsea Co received a prompt payment discount from one of its suppliers for the first time in B. Chelsea Co obtained a trade discount from one of its biggest suppliers which has reduced the 208 C. Chelsea Co purchased an unusually high level of goods in July 208 to satisfy a large order and amount owed to that supplier by 10% in the year - D. Chelsea Co took advantage of extended credit terms offered by a new supplier in respect of a had not paid for those goods by the year end large order which it had fully settied by the year end 3. Which of the following is an appropriate action in respect of the inconsistency in the balance with Oxford Co? A. The auditor should take no further action as this is a timing difference which was resolved upon receipt and posting of the invoice - B. The auditor should request that the purchase ledger balance is amended at the reporting date C. The auditor should contact the supplier and request a supplier statement as at the current date to reflect the recent invoice - D. The auditor should request that an accrual is created in respect of the goods received but not yet invoiced 4. Which of the following would be a valid explanation for the difference in respect of Poole Co? (1) An invoice for $156,403 has been paid twice (2) An invoice for $156,403 has been posted as a debit note (3) An invoice for $156,403 has been received and processed prior to receipt of the goods A. 1 only B. 1 and 2 only -C. 2 and 3 only D. 1,2 and 3 5. Which of the following would NOT provide sufficient and appropriate audit evidence over the COMPLETENESS of the purchase ledger balance in respect of Bath Co? - A. Obtain the journal book and confirm that all invoices recorded as received from Bath co dated B. Review the accruals listing to ensure goods received from Bath Co post year end for which an , 29-31 July have been manually adjusted for invoice has not been received have been recorded in the correct period C. For post year-end cash book payments to Bath Co, confirm date of matching liwoice and if pre D. Review a sample of invoices received from Bath Co recorded post year end and match to GRN to year end agree to liability Review a sample of invoices received rom bath have been recorded at the year end

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