nirmal singh
11 September 2012 at 10:06

Reserves and surplus

Hi sir,
please let me know about the reserves and surplus..



Anonymous
11 September 2012 at 00:10

Pf account balance verification

Hi, I am working in a company since 3 years and avail benefit of PF deduction and while checking balance of my PF account on EPFO website I found that my PF account is invalid and even X employees of this company told that they never received PF remittance amount and some are requesting to company for PF amount since 6-8 months but they never received payment and they say that company is fraud it just deducts amount from our salary and do not maintain any PF amounts for Employees and can anybody help me out how to get my PF account status and balance coz when I asked the company accountant he refused that he does not provide balance information or any document. He said I need to verify online, and can any procedure to how to sue company and any other documents required to sue the company if it found that company is fraud. Thanks please help me out in order to get my savings. Thanks....waiting for ur precious replies..!


aishwarya sharma
10 September 2012 at 20:29

Schedule vi

does revised schedule vi applies to banking and electricity companies?


prashanth c n
10 September 2012 at 20:02

Sundry debtors & sundry creditors

Dear Sir,

what i have to treat if Sundry Drs shows Debit balance and Credit balance

What i have to treat if Sundry Crs shwos Credit balance and Debit Balances

Could plz explain



Anonymous
10 September 2012 at 11:38

Revised schedule vi

Can any body tell me that.is revised schedule VI is applicable for Nov.12 exams and if so then which chaps would be effected by the same including both IPCC grp 1st and 2nd.

Any amendments in tax?...if so then can i have the same


IsaacAkbarSriram
10 September 2012 at 08:02

Revised scheduled vi

i'm a CA cinal student........
Can anyone say whethter it is compulsory to write the answers of consolidation and amalgamation questions in the revised Sch VI format in the exams or is it sufficient to present in the simple horizontal format as given in question.........



Anonymous
09 September 2012 at 23:03

Accounting for assets received at 0 cost

Hi,

Please let me know how assets received at 0 cost should be accounted:
which AS deals with the same
at what cost should it be recorded
how should accounting entries floe


Raja
09 September 2012 at 19:34

Treatment of trial run cost

As per accounting standard asset is capitalised at cost including cost of trial run less sale value of goods generated during trial batch.

However what should be the treatment when goods produce during the trial batch are not sold till year end or upto the date of finalization of accounts for the year. Further the market value of the same is also not known as the same are not as good as final product but have demand in market i.e, saleable.

Should the same be inventorised at cost or capitalised with fixed assets i.e, not to deduct saleable value from trial run cost.


DEVENDER THAKUR
09 September 2012 at 18:48

Journal

A car purchased by the name of one of the partner; Total payment like advance for booking and other expenses were paid by

the firm(partnership firm). Total bill amount if aprx 23 lac. Rs. 18 lac financed by the ICICI bank by the name of that partner.

and rest of payment made from the firm itself. Now the car will be shown in the books of firm. Loan will be repaid from the

firm.Depreciation to be claimed. How can we do it ? Can we claim the Interest on loan in the firm.?



Anonymous
09 September 2012 at 14:11

Accounting entry

our firm is doing screening & printing of saree business.foe which we need lignite & we purchase it from GMDC.for which there an ajent who book lignite at gmdc & pay the amount on our behalf. at that time he issue debit note regarding booking charges of lignite.when we get the dilivery of lignite gmdc make bill on us and return the differance amount of booking and bill to us.now what accounting entry should be passed for above transaction.
we have credited agent's a/c on reciept of debit note & make the payment on debit note.now how to make entry of gmdc bill. pls help me.






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