Ask Question
14 December, 19:08

On its bank reconciliation for the month of December, Pack Corp, noted that it had made an accounting eror It recorded the cash receipt from a sale to a customer as $48 instead of the actual amount of $84 Question: In Pack Corp 's month-end journal entry to record this reconciling item, which of the following is true? Select one O a The Sales Revenue account should be debited for $18 O b The Saes Revenue" account shouid be credited for $18 O c. The Accounts Receivable account should be debited for $18 O d. The Accounts Receivable' account should be credited for $18. O e. The Accounts Payable account should be credited for $18 O f. The Accounts Payable" account should be debited for $18

+5
Answers (1)
  1. 14 December, 22:00
    0
    The right treatment will beCash Account will be debited 36$Sales Revenue A/c will be credited 36 $

    Explanation:

    Because this is th case of rectification of undercast

    So the same account will be debited and credited with the difference

    which is less recorded
Know the Answer?
Not Sure About the Answer?
Get an answer to your question ✅ “On its bank reconciliation for the month of December, Pack Corp, noted that it had made an accounting eror It recorded the cash receipt ...” in 📙 Business if there is no answer or all answers are wrong, use a search bar and try to find the answer among similar questions.
Search for Other Answers