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Give rectifying entries for the followin...

Give rectifying entries for the following:
(i) Rs. 5,400 received from Mr. A was posted to the credit of his account.
(ii) The total of Sales Return Book overcasted by Rs. 800.
(iii) Rs. 2,740 paid for repairs to motor car was debited to Motor Car Account as Rs. 1,740.
(iv) Returned goods to Shyam Rs. 1,500 were passed through Returns Inward Book.

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TS GREWAL-RECTIFICATION OF ERRORS-Practical Problems
  1. Pass the rectifying entries for the following: (i) Sales of goods Rs...

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  2. Give rectifying Journal entries for the following errors: (i) Sal...

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  3. Give rectifying entries for the following: (i) Rs. 5,400 received ...

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  4. Pass Journal entries rectifying the following errors: (i) A cheque ...

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  5. Rectify the following errors: (i) Sales Book has been totalled Rs....

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  6. Pass Journal entries to rectify the errors in the following cases: ...

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  7. (i) What are the different causes that make a Trial Balance incorrect?...

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  8. Rectify the following errors: (i) Wages paid for the construction ...

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  9. Pass the rectifying entries for the following transactions: (i) An a...

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  10. Rectify the following errors: (i) Sale of old furniture worth Rs. 3...

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  11. There was a difference in the Trial Balance of M/s. Jain & Sons, prepa...

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  12. Give the Journal entries to rectify the following errors: (i) Purc...

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  13. Rectify the following errors: (i) The total of one page of Sales B...

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  14. Rectify the following errors by passing Journal entries: (i) Old f...

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  15. Rectify the following errors by passing Journal entries: (i) A sum...

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  16. While trying to close his books for the year ended 31st March, 2014, M...

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  17. Pass the rectification entries for the following transactions: (i)...

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  18. A Trial Balance disclosed a difference of Rs. 417 placed on the credit...

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  19. There was a difference of Rs. 720 in the Trial Balance which has been ...

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  20. There was an error in the Trial Balance of Ram Gopal on 31st March, 20...

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