A Accounting

Trade payables for Statement of financial position ( video below)

The accountant at XYZ Co has prepared the following reconciliation between the balance on the trade payables ledger control account in the general ledger and the list of balances from the suppliers ledger:

$
Balance on general ledger control account 17,142
Credit balance omitted from list of balances from payables ledger    (32)
17,110
Undercasting of purchases day book        25
Total of list of balances 17,135

What balance should be reported on XYZ Co’s statement of financial position for trade payables?

Answer

Control account List of balances
$ $
Balance/total 17,142 17,135
Credit balance omitted 32
Undercasting of day book       25          –
17,167 17,167


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