Post from the analysed cash book to the relevant ledger account below. General Ledger Capital a/c
Dr Date Dr Date Dr Date
31/06/23 31/06/23
Dr Date Date Details
31/06/23 Bank/Cash Dr
Details
31/06/23 Bank/Cash Dr
Date 4. Trial balance
Complete the trial balance below using the information from the ledger above.
Sales VAT
Capital
Purchases Wages
Electricity Bank Total
Hint: Both figures should be the same. P. 186 Go to page 186 of the activity book to practise more questions. Details 31/06/23 Bank/Cash Know It!
• If it is on the debit in the ledger = debit in trial balance • If it is on the credit in the ledger = credit in trial balance • Don’t forget to enter the balance b/d of the analysed cash book!
Debit Credit Total Details
Purchases Balance c/d
Total Details Total VAT a/c Date 31/06/23 01/07/23 Purchases a/c Total Total Wages a/c Date Details Total Date Electricity a/c Date Details Total Cr Details Total Cr Details Sales Balance b/d Cr Total Details Total Sales a/c Date 31/06/23 Details Bank/Cash Cr Total Date 31/06/23 Details Bank/Cash Cr Total Cr