A difference between the debit and credit totals in a tri...
A difference between the debit and credit totals in a trial balance is placed in
Bank reconciliation statement
Profit and loss account
Suspense account
Appropriate account
Correct answer is C
No explanation has been provided for this answer.
During the year ended 31st December 2001, Nuju Enterprises paid rent as follows: Jan. 20, N2...
The objective of a departmental accounts is to ascertain the ...
When a new partner is admitted to a partnership, there is a need to revalue the? ...
Which of the following is not recorded in a partnership appropriation account? ...
One of the purposes of maintaining the account of a branch at the head office is to? ...
When is a petty cash account debited? ...
A book of account that possesses the features of both day book and ledger is ...
Tale LTd. has 100,000 ordinary shares of ₦1 each and 60,000 5% preference shares of ₦1 each. Bot...