Monday 31 October 2016

Work done in class


  • Meaning of Bank Reconciliation Statement.
  • Transactions which brings difference between Passbook and Cash Book.
  • Numericals related with the topic was solved in the class. 

Sunday 23 October 2016

work done in class


  • Completed Other Subsidiary Books
  • Concept of Purchase Book Sales Book ,Purchase return Book and Sales return Book was made clear to the students.
  • Various numericals related with the topic was solved in the class.

Sunday 16 October 2016

work done in class


  • Chapter Single entry system of accounting completed.
  • Difference between single entry and double entry system of accounting was made clear to the students.
  • Numericals related to the topic was solved in the class.
  • Introduced Other Subsidiary books.
  • Submit your registers for checking.