विघटन पर साझेदार द्वारा फर्म को दी गई अतिरिक्त नकद राशि उसके पूंजी खाते में किस ओर लिखी जाती है?
On dissolution, additional cash contributed by a partner to the firm is recorded on which side of his capital account?
Explanation opens after your attempt
A. जमा पक्षCredit side
Concept
When cash is received from a partner, his payable amount reduces and capital account is credited. It is useful for settling debit balance.
Why this answer is correct
The correct answer is A. जमा पक्ष / Credit side. When cash is received from a partner, his payable amount reduces and capital account is credited. It is useful for settling debit balance.
Exam Tip
साझेदार से नकद मिलने पर उसकी देय राशि घटती है और पूंजी खाता जमा होता है। यह नाम शेष की पूर्ति में उपयोगी है।
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