MOKTAR AHAMED LASKAR
Add : KHODAR BAZAR , NISHCHINTAPUR, BARUIPUR Financial Year 2026-27
South 24 Parganas ,Pin - 700144 Assessment Year 2027-28
PAN - BASPL7821B
Dr. Projected Trading, Profit & Loss Account For The Year Ended 31st March 2027 Cr.
Particulars Amount(Rs.) Particulars Amount(Rs.)
To Opeing Stock 7,48,500.00 By Sales 25,02,038.00
To Purchase 13,61,600.17
To Carriage Inward 68,650.00 By Closing Stock 7,92,400.00
To Gross Profit c/d 11,15,687.83
32,94,438.00 To Gross Profit b/d 32,94,438.00
To Salary 1,54,600.00 11,15,687.83
To Electricity Charges 16,950.00
To Travelling Expenses 21,470.00
To Telephone Charges 6,200.00
To Accounting Chages 8,000.00
To Interest on Loan 25,470.00
To Repair & Maintainence 16,590.00
To Tea & Tiffin Expenses 7,460.00
To General Expenses 16,900.00
To Depreciation Charges 16,375.29
To Net Profit(Transferred to 8,25,672.54
Prorietors capital Account)
11,15,687.83 11,15,687.83