Answer Posted / manjunath
IT IS THE STATEMENT,AT THE END DATE or Preparing date,
WHATER CHEQU ARE DEPOSIT are not clearer, whater cheque are
issue for payment not cleared,balance of cash, cash book
maintained by casher and pass book balance must be tally.
| Is This Answer Correct ? | 0 Yes | 1 No |
Post New Answer View All Answers
is it possible that on dealer of work contract can opt composition and non-composition both scheme in dvat?
post pscwb question and answer for accounting paper I & II for govt.officers departmental examination.
how many types of practice accounts?
DEfine SAP
Rs. 23.50 ( Rupes twenty three & paise fifty only) what is euro Conversion?
Hi, I would like to check if my understanding is correct I have a negative amount for provision of income tax in my balance sheet from my previous financial year.What are the accounting treatments for income tax paid and then refunded to you for the current year? Is this correct? For payment Dr provision of income tax cr bank For tax refund Cr provision of income tax Dr bank Do I need to input anything in income tax expense acct?
how history is helpful for banking?
Pls Explain Accounting Standered 1,3,11,29
drawings by making a DD from bank ( suppose payable towards UIT ) and on cancellation on such DD what journal entry needs to be passed ?
why do you think you are sutable candidate for this post
what is corporate accounting?
Whether setting up of diary plants comes under CMA under Farm Sector or Non Farm Sector
hai everybody... wish u all the best for those who got selected in sbi associate bank is anyone from coimbatore region attending on 27th may 2009.
Expand---------PED
Workers name-Madhu Saha.Pay structure,basic-5850,HRA-1350,CCA-900,TRAV.ALLOW.900.DEDUCTION-PF-702.ESI-150,P.TAX-90.WHAT IS THE EXTRACT IN PF,ESI,IN BALANCE SHEET & sALARY IN p/l A/C . iS IT POSSIBLE THAT PERSONS'S NAME SHOUL COME I P/L