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In the process of reconciling the balances on the trade payables control account with the list of individual balances per trade payables ledger for Mini

In the process of reconciling the balances on the trade payables control account with the list of individual balances per trade payables ledger for Mini Traders, the bookkeeper noted that an invoice for R1 600, had been entered incorrectly in the purchases journal as R160.

The correct general ledger entries in the books of Mini Traders to rectify the error made will be ...

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