Your School's Whatsapp Group - Join Us now
WAEC and NECO CBT Software for Computers and Laptops - Candidates, Schools, Centres, Resellers - 100% Offline -Download Now

Accounts - Principles of Accounts 2007 JAMB Past Questions

Clear Selections
Change Subject Post a Question Check Syllabus Study My Bookmarks Past Questions Videos Watch Video Lessons Download App

Post UTME Past Questions Agent
Your School's Whatsapp Group - Join Us now
WAEC and NECO CBT App for Mobile Devices - Candidates, Schools, Centres, Resellers - 100% Offline -Download Now
36
The process whereby a cheque received by one person is given to another is known as?
  • A. cheque crossing
  • B. payment in cheque
  • C. cheque transfer
  • D. cheque endorsement
View Answer & Discuss JAMB 2007
37
Journal proper is used in recording?
  • A. transactions that are not regular
  • B. returns from customers
  • C. credit sales
  • D. the receipt and payment for money
View Answer & Discuss JAMB 2007
38
Use the information below to answer questions

Balance as per cash book................N13560
Unpresented cheques.....................N5120
Uncredited lodgements...................N2300
Dividend received not entered
in the cash book........................N2000
Bank charges............................N280
Standing order payments.................N600
Balance as per bank statement............?

Calculate the balance in the bank statement.
  • A. N14 680
  • B. N15 560
  • C. 17 500
  • D. 16 380
View Answer & Discuss JAMB 2007
WAEC and NECO CBT Software for Computers and Laptops - Candidates, Schools, Centres, Resellers - 100% Offline -Download Now
Post UTME Past Questions Agent
Post-UTME Past Questions - Original materials are available here - Download PDF for your school of choice + 1 year SMS alerts
39
Use the information below to answer questions

Balance as per cash book................N13560
Unpresented cheques.....................N5120
Uncredited lodgements...................N2300
Dividend received not entered
in the cash book........................N2000
Bank charges............................N280
Standing order payments.................N600
Balance as per bank statement............?

What is the adjusted cash book balance?
  • A. N14 680
  • B. N15 560
  • C. N16 440
  • D. N17 000
View Answer & Discuss (1) JAMB 2007
40
The fourth stage of the accounting information system is?
  • A. recording
  • B. interpreting
  • C. summarizing
  • D. classifying
View Answer & Discuss (1) JAMB 2007
Start a Free Practice Test
 
WAEC and NECO CBT App for Mobile Devices - Candidates, Schools, Centres, Resellers - 100% Offline -Download Now
WAEC and NECO CBT Software for Computers and Laptops - Candidates, Schools, Centres, Resellers - 100% Offline -Download Now
Post UTME Past Questions Agent
Post-UTME Past Questions - Original materials are available here - Download PDF for your school of choice + 1 year SMS alerts