Question - 18
Rectify the following errors and ascertain the amount of difference in trial balance by preparing suspense account:
- Credit sales to Mohan Rs. 7,000 were not posted.
- Credit purchases from Rohan Rs. 9,000 were not posted.
- Goods returned to Rakesh Rs. 4,000 were not posted.
- Goods returned from Mahesh Rs. 1,000 were not posted.
- Cash paid to Ganesh Rs. 3,000 was not posted.
- Cash sales Rs. 2,000 were not posted.
Translate