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Primetec - Korattur P & L 2023

1) This document provides the revenue receipt and expenditure statement for Primetec Industries in Korattur from April 2023 to December 2023 without GST. 2) The total sales revenue without tax for the period was Rs. 196,810,968.68. The largest expenses were purchase of raw materials at Rs. 111,095,191.00 and salary & wages of Rs. 16,700,591.00. 3) Other major expenses included electricity charges, job work machining charges, rent expense, and canteen expenses for staff welfare.

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0% found this document useful (0 votes)
44 views3 pages

Primetec - Korattur P & L 2023

1) This document provides the revenue receipt and expenditure statement for Primetec Industries in Korattur from April 2023 to December 2023 without GST. 2) The total sales revenue without tax for the period was Rs. 196,810,968.68. The largest expenses were purchase of raw materials at Rs. 111,095,191.00 and salary & wages of Rs. 16,700,591.00. 3) Other major expenses included electricity charges, job work machining charges, rent expense, and canteen expenses for staff welfare.

Uploaded by

geethacj2516
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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PRIMETEC- INDUSTRIES- KORATTUR

REVENUE RECEIPT & EXPENDITURE STATEMENT - WITHOUT GST - FROM 01.04.2023 - 31.03.2024

REVENUE RECEIPT(INCOME) ( A) APR'23 MAY'23 JUN'23 JUL'23 AUG'23 SEP'23 OCT'23 NOV'23 Dec'23 TOTAL
1 2 3 4 5 6 7 8
Sales ( No Tax)
24,221,207.68 21,962,830.00 23,275,899.00 24,966,421.00 27,805,963.00 25,899,049.00 14,285,602.00 18,724,341.00 11,559,451.00 192,700,763.68
Indirect Income-
702,003.00 702,003.00 741,003.00 715,003.00 715,003.00 726,703.00 178,903.00 - 26,000.00 4,506,621.00
Sales Return- Rejection: Less
-11,015.00 -58,847.00 -79,536.00 -80,554.00 -33,095.00 -11,745.00 -98,123.00 -23,501.00 -396,416.00

Total Sales (No Tax)


24,912,195.68 22,605,986.00 23,937,366.00 25,600,870.00 28,487,871.00 26,614,007.00 14,366,382.00 18,700,840.00 196,810,968.68
Add- Closing Stock
TOTAL- A

PURCHASE & EXPENSES


PURCHASE- R.M

Purchase of R.M @ 18% & 28% 16,584,479.00 15,826,537.00 14,999,767.00 17,820,461.00 18,061,120.00 19,444,121.00 2,529,282.00 3,962,574.00 1,866,850.00 111,095,191.00
Purchase Return (-)-Less -86,037.00 -6,798.00 -652,080.00 -10,560.00 -20,680.00 -109,472.00 -885,627.00
CONSUMABLE -
D.M Water 18,450.00 18,900.00 19,800.00 19,350.00 19,800.00 17,100.00 18,000.00 12,600.00 15,300.00 159,300.00
Packing Exp 24,095.00 5,605.00 10,725.00 9,750.00 18,514.00 24,500.00 27,200.00 22,835.00 23,100.00 166,324.00
Tools / INSERTS 705,586.00 800,112.00 672,624.00 870,422.00 990,850.00 811,560.00 837,016.00 815,064.00 1,054,542.00 7,557,776.00
Gauges -
Lubricant Oil 116,250.00 170,880.00 204,550.00 101,760.00 229,240.00 150,480.00 229,260.00 171,600.00 184,440.00 1,558,460.00
DIRE CONSUMABLE OTHERS 22,235.00 34,365.00 117,059.00 61,964.00 33,901.00 28,050.00 33,763.00 50,081.00 19,162.00 400,580.00
CT
EXP Consumable & Hardware-No Tax -
ENS
ES -
Electricity Charges(EB) 518,478.00 365,134.00 539,163.00 384,706.00 530,146.00 474,357.00 662,334.00 394,299.00 531,733.00 4,400,350.00
Deisel& Petrol Expense 31,602.00 10,000.00 69,042.00 110,644.00
Freight / Material Delivery 17,315.00 19,600.00 1,639.00 10,050.00 15,250.00 11,570.00 22,671.00 19,060.00 12,160.00 129,315.00
J W machining charges 1,075,851.00 959,540.00 1,137,066.00 1,036,766.00 1,351,660.00 1,773,276.00 1,693,534.00 1,371,379.00 1,256,100.00 11,655,172.00
Job work-(rejection less) -
Late Deduction- -

Salary & Wages / Manpower


supply 1,648,665.00 1,646,058.00 1,677,406.00 1,876,687.00 2,016,787.00 1,926,299.00 2,092,813.00 1,974,652.00 1,841,224.00 16,700,591.00
Administrative Exp -
Advertisement exp -
Auditing Fees(Tax Audit) 47,565.00 67,500.00 4,500.00 5,500.00 8,500.00 4,500.00 4,500.00 79,000.00 9,000.00 230,565.00
-
Conveyance & Travelling 2,220.00 900.00 2,500.00 1,250.00 1,750.00 2,550.00 1,800.00 1,800.00 4,000.00 18,770.00
Office Expenses 6,300.00 1,000.00 8,475.00 14,900.00 38,000.00 68,675.00
Pooja Expenses/Pooja 2,095.00 1,164.00 1,185.00 766.00 1,297.00 771.00 90,547.00 1,576.00 1,757.00 101,158.00
Postage & Courier 300.00 300.00
Property Tax & Other charges 38,106.00 45,952.00 41,900.00 125,958.00
Director Remuneration -
Rent Expense- Shed No. 136 184,000.00 184,000.00 184,000.00 184,000.00 184,000.00 184,000.00 184,000.00 184,000.00 184,000.00 1,656,000.00
REVENUE RECEIPT & EXPENDITURE STATEMENT - WITHOUT GST - FROM 01.04.2023 - 31.03.2024

REVENUE RECEIPT(INCOME) ( A) APR'23 MAY'23 JUN'23 JUL'23 AUG'23 SEP'23 OCT'23 NOV'23 Dec'23 TOTAL
1 2 3 4 5 6 7 8
EMPLOYEES Exp -
Canteen Exp- Staff Welfare 140,939.00 123,031.00 103,946.00 106,974.00 115,596.00 175,865.00 139,771.00 127,335.00 135,667.00 1,169,124.00
Director Remuneration -
Bonus Paid 306,689.00 306,689.00

Education Fees -
FINANCE
BankCOST
charges & interest(Cub, Tiic, -
) 860,992.00 894,239.00 840,723.00 861,801.00 931,944.00 785,056.00 810,632.00 749,665.00 895,710.00 7,630,762.00
donation 12,000.00 12,000.00
MOD charges -
Legal Fees -
ESI & PF 33,810.00 34,046.00 34,251.00 32,844.00 34,128.00 27,854.00 26,411.00 29,187.00 50,474.00 303,005.00
Insurance 33,725.00 96,443.00 32,366.00 34,616.00 22,843.00 57,774.00 277,767.00
Software serivce 10,800.00 10,800.00 21,600.00
-
Printing & Stationery 1,400.00 15,005.00 7,050.00 9,540.00 13,700.00 18,240.00 5,320.00 54,835.00 15,085.00 140,175.00
REPAIR & SERVICE -

Electricals - Maintanance 119,835.00 33,243.00 93,353.00 77,431.00 14,583.00 31,588.00 30,635.00 49,330.00 62,921.00 512,919.00

Machinery- Maintanance 19,700.00 58,340.00 12,700.00 174,673.00 70,800.00 61,850.00 49,500.00 49,306.00 130,120.00 626,989.00
Vehicle - Maintenance 29,121.00 180,736.00 63,459.00 25,539.00 162,354.00 200.00 101,695.00 1,450.00 564,554.00
Bulding Maintance -
Security & Housekeeping -
Security & House Keeping 42,505.00 37,645.00 37,000.00 38,467.00 40,893.00 40,400.00 43,560.00 42,475.00 39,432.00 362,377.00
Telephone & Internet 10,809.00 10,534.00 16,471.00 10,027.00 8,386.00 10,358.00 8,980.00 8,975.00 8,975.00 93,515.00
GST PENALITY 168,748.00 8,616.00 177,364.00
TOTAL RS. ( EXPENES)- B 22,211,985.00 21,621,663.00 20,774,139.00 23,864,937.00 24,727,159.00 25,607,837.00 9,931,274.00 10,298,286.00 8,411,062.00 167,448,342.00
-
Nett Profit / Nett Loss 2,700,210.68 984,323.00 3,163,227.00 1,735,933.00 3,760,712.00 1,006,170.00 4,435,108.00 8,402,554.00 -8,411,062.00 29,362,626.68
REVENUE RECEIPT & EXPENDITURE STATEMENT - WITHOUT GST - FROM 01.04.2023 - 31.03.2024

REVENUE RECEIPT(INCOME) ( A) APR'23 MAY'23 JUN'23 JUL'23 AUG'23 SEP'23 OCT'23 NOV'23 Dec'23 TOTAL
1 2 3 4 5 6 7 8

FIXED ASSETS
Fixed Assets (Return)
Loan Repayment-

Dhana Lakshmi Chit payment


TOTAL- Rs. ( Fixed Assets)

Balance -( Surplus)

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