CHAPTER : 1 PROCEDURE FROM JOURNAL ENTRY TO BALANCE
CHAPTER : 2 BILLS RECEIVABLES AND PARABLES
- OVERVIEW OF PROCEDURE
- JOURNAL ENTRIES FROM TRANSACTIONS
- CREATION OF LEDGERS FROM JOURNAL ENTRIES
- CREATING TRIAL BALANCE WITH THE HELP OF CLOSING BALANCE OF LEDGERS
- MAKE TRADING ACCOUNTS WITH THE HELP OF TRIAL BALANCE A/C
- MAKE PROFIT AND LOSS ACCOUNT WITH HELP OF TRIAL BALANCE A.C
- MAKE PROFIT AND LOSS APPROPRIATION
- BALANCE SHEET
- TYPES OF FINANCIAL STATEMENT
- WORKSHEET/FORMAT OF FINANCIAL STATEMENT
CHAPTER : 2 BILLS RECEIVABLES AND PARABLES
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