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BEFORE THE INCOME TAX OFFICER, WARD 2(3)(2) BULANDSHAHAR

REG - MUNNA KHAN S/O AJIJ KHAN


R/O USMAPUR, KHURJA

ASSTT. YEAR - 2022-23 PAN : EVUPK5399K


STATUS - INDIVIDUAL D.O. B. 01-01-1983

COMPUTATION OF INCOME

INCOME FROM BUSINESS 499560.00


( FABRICATOR)

----------------
499560.00
Less U/S 80-C 0.00

----------------
Total Profit 499560.00
Tax Due 0.00
Fee Payable 0.00
Balance Tax 0.00
BEFORE THE INCOME TAX OFFICER, WARD 2(3)(2) BULANDSHAHAR
REG - MUNNA KHAN S/O AJIJ KHAN
R/O USMAPUR, KHURJA

ASSTT. YEAR - 2022-23 PAN : EVUPK5399K


STATUS - INDIVIDUAL D.O. B. 01-01-1983
PROFIT & LOSS ACCOUNT

To Travelling Exp. 23500.00 By Receipts Receipt 639860.00


To Telephone & Mobile Exp. 14600.00
To Maintanance Exp. 27500.00
To Legal Exp. 23500.00
To Miscell. Exp. 33200.00
To Electricity & Generator 16400.00
To Bank Exp. 1600.00

To Net Profit 499560.00

639860.00 639860.00

CAPITAL ACCOUNT
Net Profit 499560.00 Drawings 321520.00
Opening balance 640190.00 Closing balance 818230.00

1139750.00 1139750.00

BALANCE SHEET AS ON 31.03.2022

Capital A/c 818230.00 Debtors 214520.00

Cash in Hand & Bank 603710.00

818230.00 818230.00
BEFORE THE INCOME TAX OFFICER, WARD 2(3)(2) BULANDSHAHAR
REG - MUNNA KHAN S/O AJIJ KHAN
R/O USMAPUR, KHURJA

ASSTT. YEAR - 2023-24 PAN : EVUPK5399K


STATUS - INDIVIDUAL D.O. B. 01-01-1983

COMPUTATION OF INCOME

INCOME FROM BUSINESS 499870.00


( FABRICATOR)

----------------
499870.00
Less U/S 80-C 0.00

----------------
Total Profit 499870.00
Tax Due 0.00
Fee Payable 0.00
Balance Tax 0.00
BEFORE THE INCOME TAX OFFICER, WARD 2(3)(2) BULANDSHAHAR
REG - MUNNA KHAN S/O AJIJ KHAN
R/O USMAPUR, KHURJA

ASSTT. YEAR - 2023-24 PAN : EVUPK5399K


STATUS - INDIVIDUAL D.O. B. 01-01-1983
PROFIT & LOSS ACCOUNT

To Travelling Exp. 25600.00 By Receipts Receipt 652090.00


To Telephone & Mobile Exp. 16400.00
To Maintanance Exp. 28320.00
To Legal Exp. 27600.00
To Miscell. Exp. 34800.00
To Electricity & Generator 18300.00
To Bank Exp. 1200.00

To Net Profit 499870.00

652090.00 652090.00

CAPITAL ACCOUNT
Net Profit 499870.00 Drawings 364100.00
Opening balance 818230.00 Closing balance 954000.00

1318100.00 1318100.00

BALANCE SHEET AS ON 31.03.2023

Capital A/c 9540000.00 Debtors 264510.00

Cash in Hand & Bank 689490.00

9540000.00 954000.00

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