Plzz help me with solutions Q. 32. Give rectifying journal entries for the following errors :
(a) Sale of goods to Madan «,000 were entered in the sales book as
(b) A credit purchase of < 1,500 from Ajay has been wrongly passed through
the sales book.
(c) Repairs to building 000 were debited to building account.
(d) 0,050 paid to Rohit is posted to the debit of Mohit's account as
(e) Purchase return book is overcast