Schedules To Profit and Loss Account For The Year Ended 31.03.2007
Schedules To Profit and Loss Account For The Year Ended 31.03.2007
Schedules To Profit and Loss Account For The Year Ended 31.03.2007
Subject to our Report of even Date TOTAL 2220278 696833 Travelling & Convey. To be a/cted 118940
Cash from Tara Sethi and Paid -70000 TO BE PAID
Promod k. Sethi For MADAN & CO., FINANCIAL CHARGES:- P
(Director) CHARTERED ACCOUNTANTS Bank Charges 69803 11954 9 Balance Payable 48940
Bank Interest 462 0
Fringe Benefit Tax 16830 0 10 Creditors
Tara Sethi J.H.Madan Srinivas TOTAL 87095 11954 Connoiseur Electronics Pvt Ltd 2500 Cash Paid
(Director) (Proprietor) Dfc Services Pvt Ltd. 1131 Cash Paid
3631
-174023
NET CURRENT ASSETS (AB) 812226 322076 Sundry Debtors(Unsecure d, Conside red good ) H Sundry Creditors:-
Due more than Six Months 3926097 0 Goods and Services
Miscelleneous Expenditure M 10929 14572 Others 2652118 1330473 Atlanta Business Services 2814
(to the extent not written off or adjusted) TOTAL 6578215 1330473 Isocomp Technologies 6887875
1346681 343267 LOANS ANDADVANCES: I Maxima Infotech 6000
Advance to Customers 520668 0 Sindhu Cargo Services Ltd 113777
Advance Others 325000 45000 TOTAL 7010466
Subject to our Report of even Date TOTAL 845668 45000
Creditors for Expenses:-
Promod k. Sethi For MADAN & CO., CURRENT LIABILITIES: Madan & Co 562
(Director) CHARTERED ACCOUNTANTS Sudry Credtiors J Sharma ram 174023
Goods and Services 7010466 2777680 Salary Payable 246092
Expenses 1513891 168514 Audit Fees Payable 38140 6092.00 PREV. YEAR
Tara Sethi J.H.Madan Srinivas Others 126162 59185 Polyflouro Rent Payable 144000
(Director) (Proprietor) TOTAL 8650519 3005379 Director Remuneration payable 742500
Travelling Exp Payable 48940 CURRENT YEAR
Place:Bangalore Advance received from Customers K 80061 504818 VAT Payable 119634 CURRENT YEAR
Date : TOTAL 80061 504818 TOTAL 1513891 129123
Others:- 9489
PROVISIONS:- L Canara Bank Payable 126162
Provision for Taxation 620 40000 TOTAL 126162
Provision for Fringe benefit Tax 489 2000
TOTAL 1109 42000 Advance received from Customers
G.B Rubber Products 1227
Karnataka Polymer Products 290
MISCELLENOUS EXPENDITURE:- M Maflon Engineers 76711
Preliminary Expenses 14572 Pawana Industries 1833
Less: Written off During the year 3643 10929 14572 TOTAL 80061
TOTAL 10929 14572
ISOCOMP FLUORO POLYMERS (INDIA) PRIVATE LIMITED. STATUS PRIVATE LIMITED COMPANY
No.260 A, BOMMASANDRA INDUSTRIAL AREA PAN. AABC14289F
HOSUR ROAD, ASST.YEAR 2007-2008
BANGALORE -560099. PRE . YEAR 2006-2007
6 Advance Pad to Cardrobe Rs.10000/- Dated 08.02.07. Bill not yet received.
(Relating to Car added to Asset Value)
8 Purchase from Connoiseur Electronics Pvt. Ltd. Rs.40540/- in July paid Rs.38040/- Still Rs.2500/- outstanding.
9 DFC Services Pvt. Ltd opening balance Rs.1131/-(Cr) still continued. (Cash paid)
13 P.K. Sethi A/c to be cleared. (Paid to Modavi Motors for purchase of Car)
(Car to be Accounted in Books)
16 Poly Fluro Ltd. Rent a/c to be cleared. (Rent For the Month Rs.24000/-)
Rent Entries to be passed from July onwards T.D.S To be checked.
58045
1763737
61984
50000
270490
76150
208085 666709
1097028
FRINGE BENEFIT TAX CALCULATION STATEMENT (F.Y.2006-2007)
I QUARTER 6020
II QUARTER 11036
III QUARTER 6915
IV QUARTER 26030
50001
150 30 462
26030
VAT RECONCILIATION STATEMENT
Sales 12.5% CST SALES 4% CST SALES 10% CST
Sales Tax Sales Tax Sales Tax Sales
OPENING BALANCE
APRIL 0 137282 5491 12752 1275 150034
TOTAL TURNOVER:-
Cheque issued but not cleared Cheque No: 179946 03/07/06 505
Total 275678 505 946404
Balnance as per Pass Sheet 671231