JAMB Accounting 2013 Objective — Question 19
Question 19 of 50 from the Joint Admissions and Matriculation Board (JAMB) Accounting 2013 Objective paper, with the correct answer and a full explanation.
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The total cash and cheque received from customers in a control account is derived from the
- A. purchases day book
- B. cash bookCorrect
- C. income and expenditure account
- D. sales journal
Explanation
The cash book will show whether cash or cheque was received, through proper posting in the cash and bank columns of the cash book.
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