QUESTION 3 CREDITORS RECONCILIATION (20) The information given below was extract
ID: 2328174 • Letter: Q
Question
Explanation / Answer
3.1 Creditor Control Account Debit Credit Payment in May 642150 May 1 2017 Balance Brought Down 256500 Merchandise Return 7560 Purchase on Credit 660600 Stationery Purchase 14400 Interest charged by Creditor 270 May 31 2017 Balance C/f 284760 Debit balance transfer to Creditor 2700 934470 934470 3.2 Corrected Creditor List Balance Given Adjustment Final Balance Union Limited 41400 0 41400 No Adjustment as adj no 2 have been posted correctly for Creditors Voltex 63180 0 63180 No Adjustment as adj no 4 have been posted correctly for Creditors Tropical Manufacture 169200 -9120+7500 167580 Adj no 3. R 9120 posted incorrect, correct to be posted is R 7500 Southgate Enterprise 30600 -9000-9000 12600 Adj no 5, payment considered as purchase Proworx 2700 -2700 0 Adj no 1, to be transferred to Debtors (Debit) Total 284760
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