QUESTION TWO The trial balance as at 30 April 2016 of Timber Products Limited was balanced by the inchusion of the debit balance. A difference on trial balance suspense account Kshs. 2,513 on the debit side was posited. Subsequent investigations revealed the following errors: 1. Discounts received of Kshs. 324 in January 2016 have been posted to the debit of the discounts allowed account. 2. Wages of Kshs. 2,963 paid in February 2016 have not been posted from the cash book. 3. A remittance of Kshs. 940 received from K Mitcham in November 2015 has been posted to the credit of B Mansell Limited. 4. In December 2015, the company took advantage of an opportunity to purchase a large quantity of stationery at a bargain price of Kshs. 2,000. No adjustments have been made in the accounts for the fact that three-quarters, in value, of this stationery was in stock on 30 April 2016. 5. A payment of Ksh 341 to J Winters in January 2016 has been posted in the personal account as Kshs. 143. 6. A remittance of Kshs. 3,000 received from D North, a credit customer, in April 2016 has been credited to sales. 7. The draft accounts for the year ended 30 April 20X7 of Timber Products Limited show a net profit of £24,760. You are required to: Show the jounal entries necessary to comect the erors. Draw up the suspense account after the errors described have been corrected. Prepare a computation of the corrected net profit for the year ended 30 April 2016 i ii 111. following corrections for the above accounting errors.

FINANCIAL ACCOUNTING
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Chapter1: Financial Statements And Business Decisions
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οUESTIONΝTIVO
The trial balance as at 30 April 2016 of Timber Products Limited was balanced by the inclusion
of the debit balance. A difference on trial balance suspense account Kshs. 2,513 on the debit side
was posited.
Subsequent investigations revealed the following erors:
1. Discounts received of Kshs. 324 in January 2016 have been posted to the debit of the
discounts allowed account.
2. Wages of Kshs. 2,963 paid in February 2016 have not been posted from the cash book.
3. A remittance of Kshs. 940 received from K Mitcham in November 2015 has been posted to
the credit of B Mansell Limited.
4. In December 2015, the company took advantage of an opportunity to purchase a large
quantity of stationery at a bargain price of Kshs. 2,000. No adjustments have been made in
the accounts for the fact that three-quarters, in value, of this stationery was in stock on 30
April 2016.
5. A payment of Ksh.341 to J Winters in January 2016 has been posted in the personal account
as Kshs. 143.
6. A remittance of Kshs. 3,000 received from D North, a credit customer, in April 2016 has
been credited to sales.
7. The draft accounts for the year ended 30 April 20X7 of Timber Products Limited show a net
profit of £24,760.
You are required to:
Show the journal entries necessary to correct the errors.
Draw up the suspense account after the errors described have been corrected.
Prepare a computation of the corrected net profit for the year ended 30 April 2016
following corrections for the above accounting errors.
i.
ii.
Transcribed Image Text:οUESTIONΝTIVO The trial balance as at 30 April 2016 of Timber Products Limited was balanced by the inclusion of the debit balance. A difference on trial balance suspense account Kshs. 2,513 on the debit side was posited. Subsequent investigations revealed the following erors: 1. Discounts received of Kshs. 324 in January 2016 have been posted to the debit of the discounts allowed account. 2. Wages of Kshs. 2,963 paid in February 2016 have not been posted from the cash book. 3. A remittance of Kshs. 940 received from K Mitcham in November 2015 has been posted to the credit of B Mansell Limited. 4. In December 2015, the company took advantage of an opportunity to purchase a large quantity of stationery at a bargain price of Kshs. 2,000. No adjustments have been made in the accounts for the fact that three-quarters, in value, of this stationery was in stock on 30 April 2016. 5. A payment of Ksh.341 to J Winters in January 2016 has been posted in the personal account as Kshs. 143. 6. A remittance of Kshs. 3,000 received from D North, a credit customer, in April 2016 has been credited to sales. 7. The draft accounts for the year ended 30 April 20X7 of Timber Products Limited show a net profit of £24,760. You are required to: Show the journal entries necessary to correct the errors. Draw up the suspense account after the errors described have been corrected. Prepare a computation of the corrected net profit for the year ended 30 April 2016 following corrections for the above accounting errors. i. ii.
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