(debtors reconciliation) how do I fix this errors in the debtors control account and debtors list? 1) the debtors receipts column in the cash receipt journal was overcast by R104 . 2) the bank return the cheque of R388 marked RD which had originally been received from R Hewitt within payment of his debt of R400. no entry was made of this 3) a credit note of R200 given to J Kotze for good he returned has incorrectly been recorded in the journal and the debtors Ledger as a sale of goods bought by him 4) a receipt issue to C du Toit for R1,631 was recorded correctly in the cash receipt journal but was posted to his account as R1,136 5) an invoice issue to B Basson was incorrectly posted to his account as non R998 instead of R889 6) the sales assistance wrote R1,120 instead of R2,120 on an invoice issued to A Muller for goods that he bought during may 7) AM suppliers is also a creditors of micros Traders .They are balance is R1,300 (CR) in their account in the Creditors ledger , it must be transferred to their account in the debtors ledger 8) stock sold on credit to R Hewitt for R670 has been wrongly posted to the account of J Kotze