Thursday 14 December 2017

Control Accounts - Exercise

The following information relates to the general ledger of Rita Enterprise for the month of March 2013:
Balances at 1 March 2013RM
Sales Ledger Control Account19,744
Purchase Ledger Control Account12,936
Transactions for the month of March 2013:
Cash paid to suppliers (suppliers on credit)9,058
Interest charged to customers144
Cash received from customers (customers on credit)12,488
Bad debts written off444
Credit purchases10,712
Purchases returns480
Freight charged to debtors192
Discount allowed270
Discount received from suppliers188
Credit sales9,134
Interest charged by creditors88
Dishonoured cheque returned to customers296
Sales returns256
Cash sales16,864
Cash purchases1,380
Balances in sales ledger set off against credit balances in purchases ledger152
Cash refunded to debtors72
Required:

Prepare the sales and purchase ledger control accounts using the relevant information above.

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