Following are the balances extracted from the books of Manish on 31st March, 2023
Following are the balances extracted from the books of Manish on 31st March, 2023:
| Capital Drawings Plant and Machinery Delivery Vehicle Sundry Debtors Sundry Creditors Purchases Sales Wages | 1,90,000 7,000 1,20,000 26,000 36,000 26,000 20,000 42,000 8,000 | Cash at Bank Salaries Repairs Stock on 1st April, 2021 Rent Manufacturing Expenses Bills Payable Bad Debts Carriage Inwards | 26,000 8,000 1,900 16,000 4,500 1,500 23,500 5,000 1,600 | 
Prepare Trading and Profit & Loss Account and Balance Sheet as at 31st March, 2023 after following adjustments are made:
(i) Closing Stock was ₹ 16,000.
(ii) Depreciate Plant and Machinery @ 10% and Delivery Vehicle @ 15%.
(iii) Unpaid Rent amounted to ₹ 500.
Anurag Pathak Changed status to publish October 26, 2023
							
