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Answer the following all questions F PV J U Gvj 1. State the basic principal of voting right in a co-operative society? Pj AWzg vzz Q vv w 2. What is internal trade? DAvjP g JAzg 3. What is government company? Pj PA JAzg 4. State any two examples for public sector undertaking? dP gAUz GzUU Aiizzg 2 Gzgu Pr 5. Who is retailer? ag j JAzg Aiig Answer the following any 5 questions F PV 5 UU Gvj 6. Give the meaning of co-operative society? Pj AWz Cx w 7. State the two merit of public sector undertaking? dP gAUz GzU Aiizzg 2 CPU w 8. State the any 2 features of internal trade? DAvjP gz Aiizzg 2 PtU w 9. State the any 2 features of co-operative society? Pj AWz Aiizzg 2 PtU w 10.State any 4 function of retailer? ag j Aiizzg 4 PAiU w 11.What is the statutory corporations? dP UUAzg Answer the following 3 questions F PV 3 UU Gvj 12.State the function of wholesaler? Uz jAi PAiU w 13.State the service of a wholesaler to manufacturers? GvzPjU gRA jU U j 14.State the features retailer? ag jU PtU w

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15.State the difference b/w co-operative society and joint stock company? Pq Aq A U Pg AWU q vU w IV. Answer the following 3 questions F PV 3 UU Gvj 16.State the merits & de-merits of co-operative society Pg AWU CP & CPU w 17.State the merits & de-merits of public sector undertaking? dP gAUz GzU CP & CPU w 18.State the difference b/w wholesaler trade & retail trade? gRA g v ag gU q v w

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Answer the following any 5 questions 1. What is the trial balance? 2. What is bank reconciliation statement? 3. Mention any two types of errors? 4. What is meant by errors in accounting? 5. What is meant by bills of exchange? 6. Mention the practices of bills of exchange? 7. What is the object of preparing bank reconciliation statement? Answer the following questions 8. From following ledger balance prepare trial balance as on 31-12-2006 1. Opening stock-Rs.5000 2. Sales - Rs.54000 3. Sales return-Rs 700 4. Purchase return-Rs 600 5. Purchase-Rs 35000 6. Carriage in ward-Rs 1000 7. Capital-Rs 20000

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8. Salary-Rs 1500 9. Drawings-Rs 2000 10.Rent-Rs 1200 11.Commission (or)-Rs 900 12.Wages-Rs 200 13.Interest (or)- Rs 100 14.Building-Rs 26000 15.Machinery-Rs 3000 9. Rectify the following errors by passing sournal entries 1. An amount of Rs 1000 spent on repairs to machinery has been debited to machinery a/c 2. Salary paid Rs 6000 is omitted 3. Bought goods from anil Rs 5000 but not entered in the books of A/CS 4. Purchase building Rs 7000 has been orbited to Purchase A/C 5. Rs 300 received from Anita has been credited to sunithas A\C 6. Goods returned by akash but not entered in the books III. Answer the following questions 10.Prepare bank reconciliation statement as on 31-12-2005 1. Bank balance as per cash book Rs.36000 2. Bank charges Rs 150 has been 3. Interest on investment collected by the banker and entered in the credit side of pass book 4. pirect deposit made by a customer and credit in the pass book only Rs300 5. wrong debit given in pass book Rs 150 11.Mr. anil sold goods to Mr. sunil Rs 10000 on 1-1-2000 Mr anil draws a bill on Mr. sunil payable after 3 months only Mr. anil endorsed the bill on the same date to Mr. Nikhil. The bill is duly hconoured on the due date. Pay sounal entries in the books of booth parties

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