A payment of cash of N20 to John was entered on the receipt side of the cash book in error and credited to John’s account. Which of the following journal entry can be used to correct the error? Posted on:
Bola, UTC’s regular customer, owed N1,00 on account of a radio bought. If he sent in a cheque for N1,500, UTC would send him a Posted on:
A trail balance is usually prepared by an accountant from account balances in the ledger for the purpose of Posted on: