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Enter the following transactions in the relevant ledger accounts. Jan 1, 2012 Balance b/d Bank sh. 3,000 (CR) ...

      

Enter the following transactions in the relevant ledger accounts.
Jan 1, 2012 Balance b/d Bank sh. 3,000 (CR)
Cash sh. 2,000
Jan 2, 2012 Received Ksh 49,000 from Pete traders after deducting 2% cash discount.
Jan 5, 2012 Deposited sh. 20,000 from cash box to the bank account.
Jan 12.2012 Paid rent Ksh. 2,000 by cheque.
Jan 20,000 Paid Kalikali Ksh. 10,000 5% cash discount.

  

Answers


Kavungya
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Kavungya answered the question on April 1, 2019 at 13:27


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