FA1 MOCK EXAM CHAPTER 1 To 5
FA1 MOCK EXAM CHAPTER 1 To 5
FA1 MOCK EXAM CHAPTER 1 To 5
Payable order
Crossed cheque
Direct debit
A company has a credit facility with a local trade supplier. An invoice for purchases has
been credited to the payables control account and debited to the sales account.
Which of the following journal entries will correct the error?
Dr Sales account Cr Bank account
$8,000
$10,200
$6,400
Which journal entry correctly records the credit purchase of plant and
equipment?
Dr Plant and equipment Cr Cash
$513
$600
$510
Which of the following are benefits of an effective document retention policy to a
small business?
(1 To ensure all documents are stored forever
)
(2 To meet legal and tax requirements of the business
)
(3 To mitigate risks arising from internal and external disputes of the business
)
(4 To increase operational efficiency and maintain control over costs
)
1 and 3 only
1, 2, 3 and 4
2, 3 and 4 only
1, 2 and 4 only
Which of the following statements are TRUE about a good coding system for
financial transactions?
(1 It enables a company to easily extract data for management analysis
)
(2 It provides a unique code for each item within the system
)
(3 It provides codes that are uniform in format
)
(4 It requires management authorisation before creation of new codes
)
1 and 2 only
1, 2, 3 and 4
3 and 4 only
2, 3 and 4 only
Narvinda buys goods from Jamal for $2,500 on 1 May. He returns half of the goods on
15 May.
Which of the following documents would be issued by Jamal for the return of the
goods?
Invoice
Credit note
Debit note
Remittance advice
If a cheque is marked 'Account Payee Only, Not Negotiable', what does this
mean?
The receiving bank can deposit the cheque in an account other than the payee
The paying bank can deposit the cheque in an account other than the payee
The cheque should be paid only into the account of the named payee
The cheque should be paid only into the account of the named drawer
What document is usually sent every month from the supplier to the customer,
listing all the transactions between them during that month?
Statement
Receipt
Credit note
Invoice
Walter sells goods to Ninevah with a list price (exclusive of sales tax) of $4,300, offering
a 4% trade discount. Sales tax is 17.5%.
What amount should be recorded for this transaction in the sales account (to the
nearest $)?
$4,850
$4,128
$5,053
$3,513
Which of the following statements regarding sales tax in the trial balance is
TRUE?
Output tax and input tax are credit balances
2 and 3
1 and 2
3 and 4
Susan is a computer equipment dealer. She uses the following coding system for her
financial transactions.
1st number 2nd number
100 Purchases 300 Cash
200 Sales 400 Payables
500 Receivables
Danielle buys computer equipment worth $2,000 on credit from Susan.
Which of the following would be the code recorded on the invoice issued by
Susan?
200300
200500
100300
100400
Which of the following are books of prime entry?
(1 Sales day book
)
(2 Payables ledger
)
(3 Journal
)
(4 Cash book
)
1, 2 and 3
1, 2 and 4
1, 3 and 4
2, 3 and 4
Malindra sent a payment to Nicholas along with a document detailing the items and
invoices the payment related to.
What is this document known as?
Debit note
Credit note
Remittance advice
Delivery note