每日一练F3 答案回复可见
<p>A company’s trial balance failed to agree, and a suspense account was opened for the difference.<br/>Subsequent checking revealed that discounts allowed $13,000 had been credited to discounts received account and<br/>an entry on the credit side of the cash book for the purchase of some machinery $18,000 had not been posted to<br/>the plant and machinery account.<br/>Which two of the following journal entries would correct the errors?<br/> Debit Credit<br/> $ $<br/> (1) Discounts allowed 13,000<br/> Discounts received 13,000<br/>(2) Discounts allowed 13,000<br/>Discounts received 13,000<br/> Suspense account 26,000<br/>(3) Suspense account 26,000<br/> Discounts allowed 13,000<br/> Discounts received 13,000<br/>(4) Plant and machinery 18,000<br/> spense account 18,000<br/>(5) Suspense account 18,000<br/> ant and machinery 18,000<br/>A 1 and 4<br/>B 2 and 5<br/>C 2 and 4<br/>D 3 and 5</p><p>C</p>页:
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