Which Entries comes in Receipts & which entries in
Payments,any payment & Income is received through cheque
that entries will appear in it or we have to pass it in journal.
Answer Posted / ravikumar
We are getting commission ,instead paying the commission.So
the Commission will be credited and the Bank A/C will be
debited
| Is This Answer Correct ? | 0 Yes | 0 No |
Post New Answer View All Answers
Telly ERP9 is perfect accounting softwear in excise unit.
what is Derivative Documentation,Derivative Settlements,Derivative confirmation?
ACCOUNTING STANDARDS ISSUED BY INSTITUE OF CHARTERED ACCOUNTANCY INDIA FOR PREPARING FUND FLOW STATEMENT
how i got knowledge about custom and excise i want rate list of custome and excise how we summit return of custom and excise , Is it include with ser. tax
Hello... i am looking jobs in investment banking, derivates and BRS and i apply nakuri,Timesjobs and monster. But i did not get the job. so if websites and ID. Please help me.. Thanking u...
Straight line method to using Indian company names
what are the aspects an auditor has to see when he/she is doing the Purchase,Sales and Journal Vouching
DESCIBE EXPORT PROCEDURE
Expand---------EDP
sir,how to get strong position in finance .how to get good position in company. qulification.Msc,MBA
Enter the following in the petty cash book, using appropriate expenditure column headings. the book is kept in the the amount of imprest system. the amount of imprest is #40,000
what do you mean indirect expanse in trading business?
Please define Transaction Type , Movement Type , Asset Transaction Type , Item Type & Document type. Please also give examples of each of them
Clasify capital
OUR BOOKS & ITR MISMATCH FOR RS.15000/- ON ACCOUNTS OF TDS ON RECIEPTS FY-09-10 . KINDY GIVE CORRECTION ENTRY TO MATCH THE BOOKS WITHI ITR. DEVENDRASINGH086@GMAIL.COM