Question: Written Assignment 5 When preparing a trail balance, the bookkeeper found it disagreed by $600, the credit side being much bigger than the debit side.

Written Assignment 5 When preparing a trail balance, the bookkeeper found it disagreed by $600, the credit side being much bigger than the debit side. The difference was entered in a suspense account. The following errors were subsequently found: 1. A cheque for $32 for electricity was entered in the cash book but not posted to ledger. 2. The debit side of the wages account is overcast by $28. 3. There is a debit in the rent account of $198 but should be $918. 4. The purchase of an office machine for $3,000 has been posted to the debit side of the purchase account in error. 5. A cheque received from A Li for $80 has been credited to A Lee's account in error. 6. The sale of some old office machine for $100 has been credited to sales account in error. 7. An amount of $17 paid for postage had been entered in the carriage outwards account in error. 8. Bank charges of $41 shown on the bank statement have not been entered in the books. 9. A credit sales to Kong for $120 was entered in the sales day book and J Kong's account as $12. 10. Discount received of $124 received from a creditor has correctly entered in the cash book and purchases ledger but omitted in the general ledger. Required: & Prepare the journal entries necessary to correct the above errors and show the suspense account. Narratives not required
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