Copy of Trail - Balance
Copy of Trail - Balance
Copy of Trail - Balance
Ramajee Complex,
Memco More,
Dhanbad
Mob. 9709726333
Trial Balance
1-Apr-23 to 31-Mar-24
99 Sunfotech Power Private Limited - 23-24 Audit
Particulars 1-Apr-23 to 31-Mar-24
Opening Transactions Closing
Balance Debit Credit Balance
Capital Account 838726.49 Cr 838726.49 Cr
Mahesh Kumar Capitsl A/c 3000.00 Cr 3000.00 Cr
Ram Singh Pratap Capital A/c 3000.00 Cr 3000.00 Cr
Reserves and Surplus 338726.49 Cr 338726.49 Cr
Shyam Pandey Capital A/c Share Holders 491000.00 Cr 491000.00 Cr
Siddhartha Pathak Capital A/c 3000.00 Cr 3000.00 Cr
Loans (Liability) 221000.00 Cr 221000.00 Cr
Mahesh Kumar (Director) Loan Liability 221000.00 Cr 221000.00 Cr
Current Liabilities 307985.52 Cr 10265934.64 11598152.48 1640203.36 Cr
Duties & Taxes 105509.72 Cr 760705.64 1069469.48 414273.56 Cr
Sundry Creditors 50571.20 Dr 4596557.00 5046982.00 399853.80 Cr
Advance Received From Customer 232000.00 Cr 3508992.00 3923892.00 646900.00 Cr
Incentive Payable 55736.00 55736.00
SALARY PAYABLE 21047.00 Cr 1343944.00 1502073.00 179176.00 Cr
Current Assets 1367712.01 Dr 15708495.00 13944211.00 3131996.01 Dr
Opening Stock 745310.52 Dr 745310.52 Dr
Loans & Advances (Asset) 439230.00 Dr 396023.00 424540.00 410713.00 Dr
Sundry Debtors 67930.00 Dr 5927999.00 4364151.00 1631778.00 Dr
Cash-in-hand 446.00 Dr 2722700.00 2644905.00 78241.00 Dr
Bank Accounts 94795.49 Dr 6419393.00 6510615.00 3573.49 Dr
Advance Tax A/c Year 2022-23 20000.00 Dr 20000.00 Dr
Advance Tax A/s 24-25 180000.00 180000.00 Dr
SELF TAX F/Y 22-23 62380.00 62380.00 Dr
Sales Accounts 6905523.00 6905523.00 Cr
Sales Solar Power 6905523.00 6905523.00 Cr
Purchase Accounts 4417325.56 4417325.56 Dr
Material Purchase 4417325.56 4417325.56 Dr
Indirect Incomes 9268.00 25087.00 15819.00 Cr
Discount Received 87.00 87.00 Cr
Liasoning & Load Extension Work 9268.00 25000.00 15732.00 Cr
Indirect Expenses 2075460.57 3510.29 2071950.28 Dr
Advertisement Exp 15590.00 15590.00 Dr
Audit Fees 10000.00 10000.00 Dr
Bank Charges & Commission 826.00 826.00 Dr
Electric Load Extension Charge 41000.00 41000.00 Dr
Fare Charges 2204.00 2204.00 Dr
Fooding Exp. 21763.00 200.00 21563.00 Dr
Frieght Charges 7520.00 7520.00 Dr
Fuel Exp. 20260.00 20260.00 Dr
GST Fee 2052.00 2052.00 Dr
Incentive 55736.00 55736.00 Dr
ISO Certification Exp 18000.00 18000.00 Dr
JBVNL (Electricity Exp.) 31410.00 31410.00 Dr
Labour Exp. 16235.00 16235.00 Dr
Legal Exp. 43200.00 43200.00 Dr
Misc. Expence 14852.00 14852.00 Dr
Office Exps 16743.00 16743.00 Dr
Printing & Stationery Expence 10850.00 10850.00 Dr
Rent Expence 81250.00 81250.00 Dr
Round Off 378.85 180.29 198.56 Dr
Salary Exps. 1542573.00 1542573.00 Dr
Site Expence 15495.00 15495.00 Dr
TCS 2388.72 2388.72 Dr
Transporting Charges 37115.00 625.00 36490.00 Dr
Travelling Exp. 68019.00 2505.00 65514.00 Dr
Grand Total 32476483.77 32476483.77
Grouping Head
share capital
share capital
share capital
share capital
share capital
current Assets
current Assets
Trade Receivable
cash & cash equivalent
Revenue
Purchase
Indirect Income
Indirect Income
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses
other Expenses