The correct entries to record goods transferred to branch from head office is to debit?
A.
branch stock account and credit goods sent to branch account
B.
branch supplies account and credit branch stock account
C.
branch stock account and credit purchases account
D.
goods sent to branch account and credit branch stock account
Correct Answer: Option A
Explanation
No official explanation is available for this question at this time. Please check contributions posted by others below. If you can provide an explanation to help other student learn, please click here
Contributions ({{ comment_count }})
Please wait...
Modal title
Report
Block User
{{ feedback_modal_data.title }}