6 Ordan received a statement from one of its suppliers, Alta, showing a balance due of $3,980. The amount due
according to the payables ledger account of Alta in Ordan’s records was only $230.
Comparison of the statement and the ledger account revealed the following differences:
1 A cheque sent by Ordan for $270 has not been allowed for in Alta’s statement.
2 Alta has not allowed for goods returned by Ordan $180.
3 Ordan made a contra entry, reducing the amount due to Alta by $3,200, for a balance due from Alta in Ordan’s
receivables ledger. No such entry has been made in Alta’s records.
What difference remains between the two companies’ records after adjusting for these items?
A $460
B $640
C $6,500
D $100
第1题:
You are an audit manager responsible for providing hot reviews on selected audit clients within your firm of Chartered
Certified Accountants. You are currently reviewing the audit working papers for Pulp Co, a long standing audit client,
for the year ended 31 January 2008. The draft statement of financial position (balance sheet) of Pulp Co shows total
assets of $12 million (2007 – $11·5 million).The audit senior has made the following comment in a summary of
issues for your review:
‘Pulp Co’s statement of financial position (balance sheet) shows a receivable classified as a current asset with a value
of $25,000. The only audit evidence we have requested and obtained is a management representation stating the
following:
(1) that the amount is owed to Pulp Co from Jarvis Co,
(2) that Jarvis Co is controlled by Pulp Co’s chairman, Peter Sheffield, and
(3) that the balance is likely to be received six months after Pulp Co’s year end.
The receivable was also outstanding at the last year end when an identical management representation was provided,
and our working papers noted that because the balance was immaterial no further work was considered necessary.
No disclosure has been made in the financial statements regarding the balance. Jarvis Co is not audited by our firm
and we have verified that Pulp Co does not own any shares in Jarvis Co.’
Required:
(b) In relation to the receivable recognised on the statement of financial position (balance sheet) of Pulp Co as
at 31 January 2008:
(i) Comment on the matters you should consider. (5 marks)
第2题:
听力原文: At the end of the total accounting period and after all transactions have been journalized and posted, the equality of the debit and credit entries is checked by preparing a trial balance. A trial balance is a schedule that lists the titles of the accounts in the general ledger and their debit or credit balances. If the trial balance is in balance, the financial statements can be prepared. If a trial balance does not agree, it implies that an error or errors have been made. The account balances, postings and the journal entries must be checked until the error is found. A trial balance does not prove that all transactions have been recorded or that the ledger is correct. The trial balance may still agree when a transaction is not journalized, a journal entry is not posted, an entry is posted twice, incorrect accounts are used in journalizing or posting, or offsetting errors are made in recording the amount of a transaction.
24. How does the accountant check the equality of the debit and credit entries?
25.What is a trial balance?
26.What is implied if a trial balance does not agree?
(24)
A.By posting all the entries.
B.By preparing a trial balance.
C.By comparing the entries on both sides.
D.By recording all the entries once more.
第3题:
Each month the credit cardholder will receive a statement from the bank showing the details of the transactions excluding the total amount outstanding.
A.Right
B.Wrong
C.Doesn't say
第4题:
XYZ Corp. has shipped goods against purchase orders to ABC Corp. ABC Corp. now has topay for the goods received as also account and reconcile the transaction. Which are the 11i OracleApplication modules involved in these activities for ABC Corp? ()(Choose all that apply.)
A.Payables only
B.Purchasing only
C.Order Management, General Ledger, and Cash Management
D.Purchasing, Payables, General Ledger, and Cash Management
第5题:
A user selects their proper domain and is unable to log into their Windows computer. The error states: system cannot log you on to the domain because the system‘s computer account in its primary domain is missing or the password on that account is incorrect.Which of the following is the MOST likely cause for this error?()
A. The computer‘s account was removed from Active Directory.
B. The user‘s account was removed from Active Directory.
C. The computer was disjoined from the domain.
D. The user typed in the wrong password
第6题:
Which statement about general average is TRUE ________.
A.Damage to a ship must have been incurred while the ship and/or its machinery was being used for its intended purpose
B.Property must have been sacrificed or an expenditure of money incurred
C.The loss or damage to deck cargo due to heavy weather constitutes general average
D.Of the ship,the freight,and the cargo interests,only one need be involved
第7题:
第8题:
第9题:
A user selects their proper domain and is unable to log into their Windows computer.The error states:‘System cannot log you on to the domain because the system’s computer account in its primary domain is missing or the password on that account is incorrect’.Which of the following is the MOST likely cause for this error?()
第10题:
Which two statements about subqueries are true? ()
第11题:
Payables only
Purchasing only
Order Management, General Ledger, and Cash Management
Purchasing, Payables, General Ledger, and Cash Management
第12题:
A single row subquery can retrieve data from only one table.
A SQL query statement cannot display data from table B that is referred to in its subquery, unless table B is included in the main query's FROM clause.
A SQL query statement can display data from table B that is referred to in its subquery, without including B in its own FROM clause.
A single row subquery can retrieve data from more than one table.
A single row subquery cannot be used in a condition where the LIKE operator is used for comparison.
A multiple-row subquery cannot be used in an INSERT statement to insert multiple rows at a time.
第13题:
听力原文:Each month the cardholder receives a statement from the bank, which lists the details of all the transactions in the month, together with the total amount outstanding.
(4)
A.Each month the cardholder receives a statement and the amount of all the transactions.
B.Each month the bank gives the cardholder a statement showing the total amount outstanding.
C.Each month the bank gives the cardholder a statement showing the compound interest.
D.Each month the bank gives the cardholder a statement showing any minimum amount that needs to be paid.
第14题:
A、showed
B、show
C、showing
第15题:
A.the income statement columns of the work sheet
B.the adjusted trial balance
C.either the adjusted trial balance or the income statement columns of the work sheet
D.both the adjusted trial balance and the income statement columns of the work sheet
第16题:
In preparing bank reconciliation, the amount of outstanding checks is added to the balance per bank statement.()
第17题:
Cherry Blossom Co (Cherry) manufactures custom made furniture and its year end is 30 April. The company purchases its raw materials from a wide range of suppliers. Below is a description of Cherry’s purchasing system.
When production supervisors require raw materials, they complete a requisition form. and this is submitted to the purchase ordering department. Requisition forms do not require authorisation and no reference is made to the current inventory levels of the materials being requested. Staff in the purchase ordering department use the requisitions to raise sequentially numbered purchase orders based on the approved suppliers list, which was last updated 24 months ago. The purchasing director authorises the orders prior to these being sent to the suppliers.
When the goods are received, the warehouse department verifies the quantity to the suppliers despatch note and checks that the quality of the goods received are satisfactory. They complete a sequentially numbered goods received note (GRN) and send a copy of the GRN to the finance department.
Purchase invoices are sent directly to the purchase ledger clerk, who stores them in a manual file until the end of each week. He then inputs them into the purchase ledger using batch controls and gives each invoice a unique number based on the supplier code. The invoices are reviewed and authorised for payment by the finance director, but the actual payment is only made 60 days after the invoice is input into the system.
Required:
In respect of the purchasing system of Cherry Blossom Co:
(i) Identify and explain FIVE deficiencies; and
(ii) Recommend a control to address each of these deficiencies.
Note: The total marks will be split equally between each part.
Cherry Blossom Co’s (Cherry) purchasing system deficiencies and controls
第18题:
第19题:
第20题:
Choose the most accurate statement regarding the account qualification and planning service component in the prepare phase. Select exactly 1 answer(s) from the following:()。
第21题:
Which two statements about subqueries are true?()
第22题:
XYZ Corp. has shipped goods against purchase orders to ABC Corp. ABC Corp. now has topay for the goods received as also account and reconcile the transaction. Which are the 11i OracleApplication modules involved in these activities for ABC Corp? ()(Choose all that apply.)
第23题:
A single row subquery can retrieve data from only one table.
A SQL query statement cannot display data from table B that is referred to in its subquery, unless table B is included in the main query's FROM clause.
A SQL query statement can display data from table B that is referred to in its subquery, without including table B in its own FROM clause.
A single row subquery can retrieve data from more than one table.
A single row subquery cannot be used in a condition where the LIKE operator is used for comparison.
A multiple-row subquery cannot be used in a condition where the LIKE operator is used for comparison.