When we are doing the reconciliation process in cash management please tell me what are the different status will happen and when will it happen. Please help me out.
No Answer is Posted For this Question
Be the First to Post Answer
What is double-entry accounting? Explain with an example?
what is journal
what is account reconcillation
what is the rate of purchasing computer goods from Gujarat, with C form, and what is the rate to sale it in Diu (Union Territory).
Machinary worth Rs 2000 and sold to Rs 1200. Bought new one Rs 4000 and carige inwards Rs 5 How many amount trafer to Capital a/c?
Is purchase itself a direct expense?
what is an accured account ?
What Is Differ tax,
when we use credit card, then what will do entries in tally erp as a accountant and second question that if he do entry then what will thay keep under the ledger of credit card.
1 Answers State Bank of Mysore SBM,
My firm got Rs.1,00,000/- as consultancy charge after deducting Rs.10,000/- as TDS. Now we have to pay Rs.15,000/- as Service Tax. Net effect we will receive only Rs.75,000/-. How can i account this.
In which account does the unpresented cheque will get recorded?
Which of the following errors are not revealed by the Trial Balance: (a) compensating errors; (b) errors of commission; (c) wrong balancing of an account; (d) wrong totalling of an account