This app is designed for SEE appearing students.
Contents of the App:
Chapter 1 – Office Procedure
Chapter 2 – Filing
Chapter 3 – Trade
Chapter 4 – Financial Institution
Chapter 5 – Final Account
Chapter 6 – Government Accounting
Chapter 7 – Bank Cash Book
Chapter 8– Budget Sheet
Accounting Equation
Accounting Procedures – Rules of Debit and Credit
Origin of Transactions – Source Documents and Preparation of Voucher
Journal and Ledger
Cash Book
Bank Reconciliation Statement
Trial Balance
Depreciation
Accounting for Bills of Exchange
Rectification of Errors
Financial Statements of Sole Proprietorship
Adjustments in Preparation of Financial Statements
Accounts from Incomplete Records – Single Entry System
Financial Statements of Not-for-Profit Organisations