A trial balance does not balance. The difference has been entered in a suspense account.
The following errors are found.
1 A cash payment of $630 for rent has been credited in the cash book and debited to the irrecoverable debts account.
2 The provision for depreciation account has been overcast by $960.
3 The purchases ledger control account balance of $48300 has been included as a debit balance.
What is the correcting debit entry to the suspense account?
1 )
$47340
2 )
$95010
$95640
4 )
$97560
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