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6. DSK Ltd has the following infomation for the month:
opening sales ledger debit balances £58,293
opening sales ledger credit balances £86
credit sales £45,263
Cash sales £362
irecoverable debt £52
purchase ledger contra (set off) £1248
receipts from credit

  • £56,282
  • £56,454
  • £55,920
  • £58,416

7. . H D.P. Ltd as the following infomation for the month:
opening purchase ledger credit balances £82,453
opening purchase ledger debit balances £362
credit notes received from suppliers £749
invoices received from credit suppliers £62,432
payments made to

  • £89,059
  • £87,443
  • £88,335
  • £89,227

8. . KT Ltd has the following infomation for the month:
sales ledger debit balances £48,923
credit sales £32,453
Cash sales £2353
sales retuns £172
discounts allowed £92
receipts from credit customers £29,267
retuned (dishonoured) cheque received from credit

  • £52,291
  • £53,752
  • £54,644
  • £51,399