Entry the following transaction in proper …

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Entry the following transaction in proper subsidiary books post them in ledger account balance the count and prepare a trial balance 2013 general June 1 assets cash in hand 50000 that EMIT and Corporation company 15000 Sumit Bros 30000 stock 175000 machinery 120000 furniture 40000 liability bank overdraft Preeti Sagar creditors between and cooperation rupees 24000 Vishal rupees So Ja Ja rule to purchase from Ramesh and sons goods of the list price of rupees 20 other at this person trading discount June part return to Ramesh and son good of the list rupees 2000 June 10 issue a cheque to Ramesh and sons in the full settlement of their account June 12 sold to Amit and cooperation goods worth 5 rupees 25000 June 15 receive cash the check Rs 8000 from Amit and Corporation that work immediately deposit into the bank June 16 draw from personal use Rs 50000 Mohit 3916 cash withdrawal from bank for office use rupees 10029 purchase from Vishal goods June 24th and 4th June 8 June receive cash in cash 829
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