Unit 3 Senator Safes Osborne Books
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I'm doing the last practice exam in the Osborne Workbook in preparation for my exam on Tues. on task 2.9 b it asks us to reconcile the sub puchases ledger with the Purchase ledger control account. Usually there out by a discount received amount in this case £500 but my answer comes out with a difference of £1000. in c) they ask for the cause of this and I think the £500 from the PLCA may not have been posted to the Subsidiary ledger but that still leaves another £500 outstanding.
Has anyone done this and got the same answer?
What do you put for the remaining difference of £500 or have I got it all wrong?!?!?
Any help would be great it's starting to make me feel a bit wobbly before my exam now in case I've missed something.
Thanks,
ScoobyDoo
Has anyone done this and got the same answer?
What do you put for the remaining difference of £500 or have I got it all wrong?!?!?
Any help would be great it's starting to make me feel a bit wobbly before my exam now in case I've missed something.
Thanks,
ScoobyDoo
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Comments
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Re:Unit 3 Senator Safes Osborne Books
Hi,
I have just done this practice exam too. The answer I got for 2.9c is that the £500 debit balance for PP Properties may be an error, and that it may actually be a credit balance of £500.
The only problem with the practice exams in this book, is that there are no answers for them... does anyone know if the answers appear anywhere or does anyone have a copy of them?
It's difficult revising when you can't check if you're doing it right!!
Cheers
Lucy0 -
Re:Unit 3 Senator Safes Osborne Books
Hiya,
You can find the answers o theworkbook on a really helpful site ive found its groups.msn.com/aatfoundation
I hope this helps
Te0 -
Re:Unit 3 Senator Safes Osborne Books
Thanks Te,
Just found the answers, you're an absolute angel!! ;o)
Cheers x0