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Tamil Nadu Board of Secondary EducationHSC Commerce Class 11

Give Journal entries for the following transactions and post them to Cash a/c and Sales A/c. 2017 Aug Particulars ₹ 10 Sold goods and cheque received but not - Accountancy

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Question

Give Journal entries for the following transactions and post them to Cash a/c and Sales A/c.

2017 Aug. Particulars
10 Sold goods and cheque received but not deposited 30,000
14 Sold goods on credit to Gopi 12,000
20 Received cash from Gopi 12,000
Ledger
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Solution

Journal Entries

Date Particulars L.F. Debit ₹ Credit ₹
2017
Aug. 10
Cash A/c ......Dr.
To Sales A/c
(Sold goods and cheques received but not deposited)
  30,000
-
-
30,000
14 Gopi A/c .....Dr.
To Sales A/c
(Sold goods for Gopi on credit)
  12,000
-
-
12,000
20 Cash A/c ...........Dr.
To Gopi A/c
(Cash received from Gopi)
  12,000
-
-
12,000

Cash Account

Dr.                                                                                                               Cr.

Date Particulars J.F. Date Particulars J.F.
2017       2017      
Aug. 10 To Sales A/c   30,000 Aug. 31 By Balance c/d   42,000
20 To Gopi A/c   12,000        
      42,000       42,000
Sep. 1 To balance b/d   42,000        

Sales Account

Dr.                                                                                                             Cr.

Date Particulars J.F. Date Particulars J.F.
2017       2017      

Aug. 31

To Balance c/d   42,000 Aug. 10 By Cash A/c   30,000
        14 By Gopi A/c   12,000
      42,000       42,000
        Sep. 1 By Balance b/d   42,000
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Chapter 4: Ledger - Exercises [Page 78]

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Samacheer Kalvi Accountancy [English] Class 11 TN Board
Chapter 4 Ledger
Exercises | Q IV 7. | Page 78
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