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Question 5 Pass the necessary Journal entries to rectify the following errors: (i) Credit sale of 2,500 to Kishan was posted to Krishan's Account. (ii) Cash sale of 5,000 to Meenu was posted to the credit of Meena. (iii) Amount of 3,500 withdrawn from bank by the proprietor for his personal use was debited to Purchases Account. (iv) Credit sale of old furniture to Mohan for 1,700 was posted as 7,100. (v) Credit sale of old furniture to Babu Ram for ` 3,000 was credited to Sales Account. (vi) Cheque of 1,280 received from Farid was dishonored and has been posted to the debit of Sales Return Account. Class 11 and Class 12 TS Grewal Accounts Solutions / @mananmalik_commerce #commerce #class12 #cbse #accounts #accountancy #accounting #class11accounts #tsgrewal2024 #chapter17 #rectificationoferrors #rectification