AICA 996 12345 15 (Help Line) : Project 1
AICA 996 12345 15 (Help Line) : Project 1
AICA 996 12345 15 (Help Line) : Project 1
i n
Project 1
Date Particulars Amount
p L
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 1 Pen
Sold 1 Pen
100.00
20.00
30.00
e l
Project 2
Date Particulars Amount
(H
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 1 Pencil
Sold 1 Pencil
100.00
20.00
10.00
1 5
Project 3
Date Particulars Amount
4 5
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 1 Book
Sold 1 Book
2 3 100.00
20.00
20.00
Project 4
Date Particulars
6 1Amount
9
01 January 2013 Invested Cash in Business 25,000.00
02 January 2013 Purchased 5 Mobile 10,000.00
03 January 2013
Project 5
Sold 5 Mobile
9 20,000.00
Date
01 January 2013
C A
Particulars
Invested Cash in Business
Amount
100,000.00
I
02 January 2013 Purchased 2 Yamaha 80,000.00
03 January 2013 Sold 2 Yamaha 120,000.00
A
1
e )
i n
Project 6
Date
01 January 2013
Particulars
Invested Cash in Business
Amount
1,000.00
p L
02 January 2013
03 January 2013
Purchased 100 Rubber
Sold 100 Rubber
50.00
45.00
e l
Project 7
Date
01 January 2013
Particulars
Invested Cash in Business
Amount
10,000.00
(H
02 January 2013
03 January 2013
Purchased 2 Mobile
Sold 1 Mobile
4,000.00
3,000.00
1 5
5
Project 8
Date Particulars Amount
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 4 Pulsar Bike
Sold 2 Pulsar Bike 4
200,000.00
3
192,000.00
94,000.00
Project 9
Date Particulars
1 2
Amount
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 5 Book
Sold 2 Book
9 6 100.00
100.00
40.00
9
C A
AI
2
e )
i n
Project 10
1
Round to 2 Decimals
28.74687168 28.75
p L
2
3
4
93.11093991
41.99826983
80.67723599
e l
5
6
7
20.92041720
95.16549628
50.99783210
(H
8
9
10
54.64154732
71.54680295
35.99151483
1 5
Project 11
Date Particulars Amount
4 5
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 2 Yamaha Bike
Sold 1 Yamaha Bike
2 3
200,000.00
80,000.00
50,000.00
04 January 2013
05 January 2013
Purchased 2 Yamaha Bike
Sold 1 Yamaha Bike
6 1 90,000.00
60,000.00
9
Project 12
Date Particulars Amount
01 January 2013
02 January 2013
03 January 2013
Invested Cash in Business
Purchased 25 Book
Purchased 25 Pen 9 1,000.00
500.00
250.00
04 January 2013
05 January 2013
C A
Sold 12 Book
Sold 11 Pen
300.00
165.00
I
06 January 2013 Purchased 15 Book 225.00
07 January 2013 Purchased 20 Pen 240.00
A
08 January 2013 Sold 13 Book 390.00
09 January 2013 Sold 16 Pen 320.00
3
e )
i n
Project 13
Date
01 January 2013
Particulars
Invested Cash in Business
Amount
200,000.00
p L
02 January 2013
03 January 2013
04 January 2013
Purchased 50 Amul 500gm (GRN 121)
Purchased 60 Amul 200gm (GRN 122)
Sold 40 Amul 500gm (GIN 251)
28,800.00
16,800.00
25,000.00
e l
05 January 2013
06 January 2013
07 January 2013
Sold 31 Amul 200gm (GIN 252)
Returned 2 Amul 500gm (GRN 121)
Purchased 50 Amul 500gm (GRN 123)
9,920.00
30,000.00
(H
08 January 2013
09 January 2013
10 January 2013
Returned 3 Amul 200gm (GRN 122)
Purchased 60 Amul 200gm (GRN 124)
Returned 1 Amul 200gm (GIN 252)
19,800.00
1 5
5
11 January 2013 Sold 45 Amul 500gm (GIN 253) 30,600.00
12 January 2013 Returned 2 Amul 500gm (GIN 251)
13 January 2013
Project 14
Sold 63 Amul 200gm (GIN 254)
4
22,680.00
3
Month
January
Opening Stock
0.00
Purchase
89,508.00
1 2
Cost of Sale
3,424.00
Closing Stock
?
Sale
3,622.00
Profit
?
February
March
April
?
?
?
42,495.00
?
9
19,385.00 6 ?
34,411.00
80,465.00
14,211.00
72,507.00
?
?
35,571.00
?
7,829.00
?
6,761.00
9
C A
AI
4
e )
i n
Project 15
p L
1
2
3
Air Condition (Akai) 1x1
Kissan Jam 300ml 1x3x12
Mixi (Geepas) 1x6x1
No
Box
Carton
No
Bottle
No
e l
4
5
6
Salt (100Kg) 1x100Kg
Salt (25Kg) 1x25Kg
Salt (50Kg) 1x2x50Kg
Sack
Bag
Sack
Sack
Bag
Bag
(H
7
8
9
Sunfeast Biscuit (Dark Fantasy) 1x2x12x4
Tide 1Kg 1x10X1Kg
Kores Eraser 1x8x12x6
Carton
Sack
Box
Packet
1
Bag
Box
5
10
11
12
Sunfeast Biscuit (Dream Cream) 1x2x12x4
Tide 200gm 1x6x12
Air Cooler (Akai) 1x1
Carton
Carton
No
4 5
Packet
Packet
No
13
14
Amul Bread (Full Size) 1
Kores Glue 150ml 1x12x30
Pc
2
Box
3 Pc
Bottle
1
15 Nescafe 100gm 1x2x24 Box Bottle
9 6
9
C A
AI
5
Project 16
.
Invested Cash Rs 5,00,00,000 and started Business of Trading
T No Date GRN NO
PURCHASE BOOK APRIL 2013
Particulars
Purchased from Lulu Hyper Market For Cash
Unit Qty
1 5
Rate Amount Total Amt
2
06/04/13 1676 Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
Purchased from Nestle India Ltd For Cash
Carton
Carton
4 5
200
200
7,428.00
14,904.00
1,485,600
2,980,800 4,466,400.00
2 3Carton
Carton
73
21
7,164.00
6,112.00
522,972
128,352 651,324.00
T No Date GIN
SALES BOOK APRIL 2013
Particulars
Sold to Carby Hyper Market For Cash
1 07/04/13 2222
9 9
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
Sold to Godrej India Ltd For Cash
btl
pkt
11520
5760
152.00
528.00
1,751,040
3,041,280 4,792,320.00
2 22/05/13 2224
:
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
btl
pkt
4204
604
153.00
215.00
643,212
129,860 773,072.00
T No Date GRN
C A
PURCHASE RETURN BOOK APRIL 2013
Particulars
Return to Lulu Hyper Market For Cash
Unit Qty
2
08/04/13
23/05/13
A I
1676
1678
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
Return to Nestle India Ltd For Cash
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
btl
pkt
btl
pkt
7
3
5
1
. 1
2
09/04/13
24/05/13
2222
2224
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
Return from Godrej India Ltd For Cash
Nescafe 250gm (btl ) 1x8x4x2 btl
Nescafe 250gm (pkt ) 1x4x4x2 pkt
btl
pkt
btl
pkt
2
8
3
11
6
.
1 5
Project 17
TRANSACTIONS
4 5
No
1
2
Date
01/01/13
02/01/13
Particulars
Invested Cash in Business
Purchased 10 Mobile
2 3
Amount
10,000.00
5,000.00
3
4
5
03/01/13
04/01/13
05/01/13
Sold 5 Mobile
Returned 2 Mobile to Supplier
Returned 1 Mobile by Customer
6 1 10,000.00
1,000.00
2,000.00
9
6 06/01/13 Paid Salary to Staff 3,000.00
7 07/01/13 Sold Old News Papers 500.00
8
9
10
08/01/13
09/01/13
10/01/13
Sold 2 Mobile to Customer on Credit
:
Received Cash from Debtors
Purchased 2 Mobile on Credit 9 2,000.00
1,000.00
1,000.00
A
11 11/01/13 Paid to Creditors 500.00
12 12/01/13 Loan taken from Hameed 10,000.00
13 13/01/13 Loan repaid to Hameed 5,000.00
14
15
16
14/01/13
I
15/01/13
16/01/13 C Purchased One Computer for Cash
Cash Deposited in Bank A/c
Cash Withdrawn from Bank
5,000.00
5,000.00
2,000.00
17
18
19
20
21
A
17/01/13
17/01/13
02/02/13
03/02/13
04/02/13
Cheque received from debtors deposited in Bank
Loan Repaid by Cheque
Purchased 10 Mobile for cash
Sold 13 Mobile for Cash
Paid Salary to Staff
500.00
2,000.00
5,000.00
5,000.00
5,000.00
.
7
.
Project 18
No Date Particulars
TRANSACTIONS
Amount
1 5
5
1 01/01/13 Invested Cash in Business 20,000.00
2 02/01/13 Purchased 10 Mobile 10,000.00
3
4
5
03/01/13
04/01/13
05/01/13
Sold 5 Mobile
Returned 2 Mobile to Supplier
Returned 1 Mobile by Customer 4
20,000.00
3
2,000.00
4,000.00
6
7
8
06/01/13
07/01/13
08/01/13
Paid Salary to Staff
Sold Old News Papers
Sold 2 Mobile to Customer on Credit
1 2 6,000.00
1,000.00
4,000.00
9
10
11
09/01/13
10/01/13
11/01/13
Received Cash from Debtors
Purchased 2 Mobile on Credit
Paid to Creditors
9 6 2,000.00
2,000.00
1,000.00
12
13
14
15
12/01/13
13/01/13
14/01/13
15/01/13
Loan taken from Hameed
Loan repaid to Hameed
:
Purchased One Computer for Cash
Cash Deposited in Bank A/c
9 20,000.00
10,000.00
10,000.00
10,000.00
16
17
18
16/01/13
17/01/13
17/01/13
C A
Cash Withdrawn from Bank
Cheque received from debtors deposited in Bank
Loan Repaid by Cheque
4,000.00
1,000.00
4,000.00
1
2 A I LIST OF ACCOUNTS
Purchase
Expense
7
8
Creditors
Fixed Assets
3 Sale 9 Cash
4 Other Income 10 Bank
5 Capital 11 Debtors
.
6 Loan
8
.
Project 19
T No
1
Date
01/01/13
Account
Cash
+/-
+
Amount
40,000.00 Invested Cash in Business
1 5
Narration
2 02/01/13
Capital
Purchase
+
+
40,000.00
20,000.00 Purchased 10 Mobile
4 5
3
Cash - 20,000.00
3 03/01/13 Cash + 40,000.00 Sold 5 Mobile
4 04/01/13
Sale
Cash
+
+
40,000.00
4,000.00
12
Returned 2 Mobile to Supplier
5 05/01/13
Purchase
Sale
Cash
-
-
-
4,000.00
9
8,000.00
8,000.00 6
Returned 1 Mobile by Customer
7
06/01/13
07/01/13
Expense
Cash
Cash
+
-
+
: 9
12,000.00
12,000.00
2,000.00
Paid Salary to Staff
A
Other Income + 2,000.00
8 08/01/13 Debtors + 8,000.00 Sold 2 Mobile to Customer on Credit
9 09/01/13
Sale
Cash
Debtors
I C+
+
-
8,000.00
4,000.00
4,000.00
Received Cash from Debtors
10
11
10/01/13
11/01/13
A
Purchase
Creditors
Creditors
Cash
+
+
-
-
4,000.00
4,000.00
2,000.00
2,000.00
Purchased 2 Mobile on Credit
Paid to Creditors
14
. 13/01/13
14/01/13
Loan
Cash
Fixed Assets
Cash
-
-
+
-
20,000.00
20,000.00
20,000.00
20,000.00
Loan repaid to Hameed
10
15 15/01/13 Bank + 20,000.00 Cash Deposited in Bank A/c
.
Cash - 20,000.00
5
16 16/01/13 Cash + 8,000.00 Cash Withdrawn from Bank
Bank - 8,000.00
17 17/01/13 Bank
Debtors
+
-
2,000.00
2,000.00
1
Cheque received from debtors deposited in Bank
5
18 17/01/13 Loan
Bank
-
-
8,000.00
8,000.00
Loan Repaid by Cheque
3 4
Received
2
Stock Register- Mobile
1
Issued Balance
Date
02-01-2013
03-01-2013
Qty
10
Rate
2,000.00
Amount
20,000.00
Qty
5
9 6 Rate
2,000.00
Amount
10,000.00
Qty
10
5
Rate
2,000.00
2,000.00
Amount
20,000.00
10,000.00
04-01-2013
05-01-2013
08-01-2013
1 2,000.00 2,000.00
:
2
2
9 2,000.00
2,000.00
4,000.00
4,000.00
3
4
2
2,000.00
2,000.00
2,000.00
6,000.00
8,000.00
4,000.00
A
10-01-2013 2 2,000.00 4,000.00 4 2,000.00 8,000.00
I C
A
.
11
Project 20
.
T No
1
2
Date
01/04/13
02/04/13
Particulars
Invested Capital by Raheem as cash for Mobile Phone Business with Kareem
Invested Capital by Kareem through Cheque and deposited in ICICI Bank A/c
1 5 Amount
700,000.00
700,000.00
3
4
03/04/13
04/04/13
Cash Deposited in SBI Bank A/c
Purchased Chair For Cash
4 5 300,000.00
4,500.00
3
5 05/04/13 Purchased Maruti Alto Car by ICICI Cheque 180,000.00
6 06/04/13 Purchased 10 Nokia mobile on Credit from Almas Communica:ons LLc (GRN 221) 60,000.00
7
8
9
07/04/13
08/04/13
09/04/13 2
Purchased 5 Nokia Mobile for Cash from Almas Communica:ons (GRN 222)
1
Purchased 10 Samsung mobile on Credit from Ruwaiya Mobiles LLc (GRN 223)
Sold 5 Nokia Mobile to Alpha Traders on Credit (GIN 321)
100,000.00
50,000.00
200,000.00
6
10 10/04/13 Sold 5 Samsung Mobile to Al Marai Traders on Credit (GIN 322) 150,000.00
11 11/04/13 Sold 3 Samsung Mobile to Al Marai Traders for Cash (GIN 323) 75,000.00
12
13
14
15
12/04/13
13/04/13
14/04/13
15/04/13
9 9
Returned 1 Nokia Mobile to Almas Communica:ons (GRN 221)
Returned 1 Nokia Mobile to Almas Communica:ons (GRN 222)
Returned 1 Samsung Mobile by Almarai Traders (GIN 322)
Returned 1 Samsung Mobile by Almarai Traders (GIN 323)
6,000.00
20,000.00
30,000.00
25,000.00
16
17
18
16/04/13
17/04/13
18/04/13 A
Received Cheque from Al Marai and Deposited in SBI A/c
Paid SBI Cheque to Almas Communications LLc
C
Sold Old News Papers for Cash
45,000.00
35,000.00
650.00
19
20
21
22
23
19/04/13
20/04/13
21/04/13
22/04/13
23/04/13
I
Loan Taken from Subair as Cash
Loan Taken from Haneefa by cheque and deposited in SBI A/c
A
Loan Repaid to Subair by Cash
Loan Repaid to Haneefa ICICI Cheque
Paid Salary for April by Cash
45,000.00
75,000.00
22,000.00
28,000.00
7,500.00
24 24/04/13 Paid Rent for April by Cheque of SBI A/c 6,500.00
25 25/04/13 Paid Electricity Bill by Cheque of ICICI A/c 5,500.00
.
26 26/04/13 Cheque Received from Al Marai Bounced 45,000.00
27 27/04/13 Cheque Paid to Almas Communications Bounced 35,000.00
12
.
Cash A/c
ICICI Bank A/c
List of Accounts
1 5
5
SBI Bank A/c
Capital (Raheem) A/c
Capital (Kareem) A/c
Alpha Traders A/c
34
2
Al Marai Traders A/c
Almas Communications LLc A/c
Ruwaiya Mobiles LLc A/c
Sales (Nokia) A/c
Sales (Samsung) A/c
6 1
9
Purchase (Nokia) A/c
Purchase (Samsung) A/c
Furniture A/c
Vehicle A/c
9
A
Loan (Subair) A/c
Loan (Haneefa) A/c
C
Salary A/c
I
Rent A/c
Electricity Exp A/c
A
Scrap Sales A/c
. 13
.
Project 21
1 5
5
Prepare Trial Balance from Project No. 20 as follows
S No
TRIAL BALANCE as at 30th April
Account Name Amount (Dr) Amount (Cr)
3 Group
4
2
1 Cash A/c Cash
2 ICICI Bank A/c Bank
3
4
5
SBI Bank A/c
Capital (Raheem) A/c
Capital (Kareem) A/c
6 1 Bank
Capital
Capital
9
6 Alpha Traders A/c Debtors
7 Al Marai Traders A/c Debtors
8
9
Almas Communications LLc A/c
Ruwaiya Mobiles LLc A/c
9 Creditors
Creditors
A
10 Sales (Nokia) A/c Sales
11 Sales (Samsung) A/c Sales
C
12 Purchase (Nokia) A/c Purchase
I
13 Purchase (Samsung) A/c Purchase
14 Furniture A/c Fixed Asset
A
15 Vehicle A/c Fixed Asset
16 Loan (Subair) A/c Loan
17 Loan (Haneefa) A/c Loan
18 Salary A/c Expense
19 Rent A/c Expense
20 Electricity Exp A/c Expense
21
.
Scrap Sales A/c
TOTAL
Other Income
14
Project 22
Identify Appropriate Account head for these expense transactions from the list given below
Account Head
Parking Fee A/c
Labour Charges A/c
Wages A/c
Canteen Exp A/c (Office)
Courier Charges A/c
Meeting & Events Expense A/c
Medical Expenses A/c
Medical Expenses A/c
Canteen Exp A/c (Factory)
Bank Charges A/c
Project No. 25 : Prepare Financial Statements for the period 1-1-2017 to 31-3-2017
10 02-02-2017 Sold 6000 bottles of Nescafe 100gm Bottle @300/- for cash 18,00,000.00
11 03-02-2017 Paid Salary for the Month of January 10,000.00
12 03-02-2017 Paid Salary to Manager for the Month of January 20,000.00
13 06-02-2017 Paid Rent for the month of January 4,000.00
14 07-02-2017 Paid Internet Bill for the month of January 700.00
15 08-02-2017 Paid Telephone Bill for the month of January 1,000.00
16 08-02-2017 Paid Water Bill for the month of January 600.00
17 12-02-2017 Paid Electricity bill for the month of January 2,000.00
18 14-02-2017 Paid Mobile Bill for the Month of January 500.00
19 04-03-2017 Sold 5000 bottles of Nescafe 100gm Bottle @320/- for cash 16,00,000.00
20 05-03-2017 Paid Salary for the Month of February 10,000.00
21 05-03-2017 Paid Salary to Manager for the Month of February & March 40,000.00
22 08-03-2017 Paid Rent for the month of February 4,000.00
23 09-03-2017 Paid Internet Bill for the month of February 600.00
24 10-03-2017 Paid Telephone Bill for the month of February 800.00
25 10-03-2017 Paid Water Bill for the month of February 900.00
26 14-03-2017 Paid Electricity bill for the month of February 2,200.00
27 16-03-2017 Mobile bill for February 400 , but accidentally paid 1800 online 1,800.00
28 31-03-2017 Internet connection cancelled and got refund of security