Baglamukhi Masala Fs 2076-77
Baglamukhi Masala Fs 2076-77
Baglamukhi Masala Fs 2076-77
Lalitpur, Nepal
Statement of Financial Position
As On 31st Ashadh 2077
Figures in NPR
Particulars Annexure Current Year Previous Year
Capital & Liabilities
Capital 1A 4,000,000.00 -
Total 8,128,059.00 -
Non Current Assets
Fixed Assets 4
Gross Block 595,000.00
Less: Depreciation to date (112,250.00) -
WDV 482,750.00 -
Investment 5 - -
Current Assets
Inventories 6 6,636,500.00 -
Sundry Debtors and Other Receivables 7 403,650.00 -
Cash and Cash Equivalents 8 65,400.00 -
Prepaids, Advances, Loans and Deposits 9 539,759.00 -
Total Current Assets 7,645,309.00 -
Total 8,128,059.00 -
Contingent Liabilities 12 - -
Significant Accounting Policies and Notes to the Accounts form integral part of the financial statement
As per our attached report
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Statement of Profit or Loss
For the period ended on 31st Ashadh , 2077
Figures in NPR
Particulars Annexure Current Year Previous Year
Direct Income 13 29,176,855.00 -
Direct Expenses 15 (27,900,999.27) -
Gross Profit /(Loss) 1,275,855.73 -
Miscellaneous Income 14 - -
Employees Benefit Expenses 16 (144,000.00) -
Administrative and General Expenses 17 (443,340.00) -
Earning before Interest, Tax, Depreciation and Amortization 688,515.73 -
Interest Expenses - -
Depreciation and Amortisation Expenses 4 (112,250.00) -
______________________ ____________________
Srijana Rayamajhi Rupesh Pradhan
Director Director
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Statement of Changes in Equity
For the period ended on 31st Ashadh , 2077
Figures in NPR
Share Revaluation Accumulated
Particulars Share Capital Total
Premium Reserve Profit (Loss)
Balance as on 1st Shrawan 2074 - - - (225,635.00) (225,635.00)
Changes in Accounting policies - - - - -
Prior period adjustment - - - - -
Profit/Loss for the year 2074-75 (179,050.00) (179,050.00)
Dividend Paid - - - - -
Balance as on 32nd Ashad 2075 - - - (404,685.00) (404,685.00)
Balance as on 1st Shrawan 2075 500,000.00 - - (404,685.00) 95,315.00
Changes in Accounting policies - - - - -
Prior period adjustment - - - - -
Profit/Loss for the year 2075-76 - - - 556,512.59 556,512.59
Dividend Paid - - - - -
Balance as on 31 st Ashad 2075 500,000.00 - - 151,827.59 651,827.59
Significant Accounting Policies and Notes to the Accounts form integral part of the financial statement.
As per our attached report
Err:509
Place: Kathmandu
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Annexure Forming Part of Financial Statement as on 31st Ashadh, 2077
Annexure -1A : Capital Figures in NPR
Particulars Schedules Current Year Previous Year
Owners Capital 4,000,000.00 -
-
Total 4,000,000.00 -
Total 65,400.00 -
Total 144,000.00 -
Sub-Total - - - - - - - - - -
Vehicle
1 - - - - - - - - - - - -
Sub-Total - - - - - - - - - -
Machinery & Equipment
1 - - - - - - - - - - - -
Sub-Total - - - - - - - - - -
Other Assets
Sub-Total - - - - - - - - - -
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Financial Statements 2067/68
Annexure :4a Fixed Assets & Depreciation
Gross Value Deprecation Net Value
Date Period for Dep
S. N. Acquired Description No (Months) 16.07.2010 Addition Deletion 16.07.2011 16.07.2011 Current Year's Deletion Up to 16.07.2011 16.07.2010 16.07.2011
Total - #REF! - #REF! - #REF! - #REF! - #REF!
Assets Written
Off Value
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Assets Written
Off Value
-
Casino Royal/Gilt Investment Pvt. Ltd.
Trail Balance
16/07/2009 to 16/07/2010
Opening Balance Transacted Amount
Account Debit Credit Debit Credit
LIABILITIES
Profit & Loss - Previous Year - - -
ACCUMMULATED DEPRECIATION
Acc. Depre (Electrical Equiment) - - -
Acc. Depre (Flooring & Furnishing) - - -
Acc. Depre (Fur & Fix-Steel) - - -
Acc. Depre (Fur & Fix-Wooden) - - -
Acc. Depre (Leasehold Improvement) - - -
Acc. Depre (Office Equipment) - - -
Acc. Depre (Other Assets) - - -
Acc. Depre (Vehicle) - - -
Acc. Depre (Computer & Assessories) - - -
SUNDRY CREDITORS
Barun Beverage (Nepal) P. Ltd. - 216,082.20 239,900.18
Hotel Kamal - 181,330.00 221,750.60
Snow White Dry Cleaners - 211,268.00 211,268.65
United Finance Ltd 30,639.92 218,596.08 187,956.16
Avis Tailors - 800,000.00 1,322,940.00
Binny Foods Industries - 61,598.00 61,598.56
Harischandra - 1,614,395.50 1,958,231.00
Gourment Vienna Products - 255,062.50 288,710.50
Durga Suppliers - 1,884,015.00 2,242,320.00
ABC Marketing - 1,215,259.78 1,215,371.91
Khalil M. Pasal - 855,796.00 951,219.50
A.M. Enterprises - 238,757.00 276,215.00
Sangrila Marketing Nepal Pvt. Ltd. - 227,386.60 248,611.65
Himalayan Noodels - 6,700.00 6,720.00
Sagun Trade concern - 74,790.00 84,805.00
Srijana Pure Drinking - 317,795.00 390,675.00
Timalsina Masala Udhyog - 134,340.00 146,300.00
New B.S. Flowers Nursery - 54,720.00 63,867.00
Green Line Center - 3,762,813.63 4,691,626.84
Shambhu Pandey - 453,152.50 512,073.50
Dhungel Plastic Suppliers - 232,105.00 265,471.50
Prabin Gautam - 351,300.00 351,300.00
Butterfly Fruit Canning - 150,359.03 169,511.58
Sarada Traders - 176,848.30 205,749.57
Tirupati Holiday Inn - 173,855.00 191,049.10
Valley Cold Store - 3,130,280.00 3,939,425.00
Shivalaya Chemical Suppliers - 55,440.00 55,440.00
Shree Mahadev Ice Center - 89,483.00 110,063.00
Shuva Lava Trading Concern - 92,554.00 112,965.35
New Rahim Tailors - 760,060.00 901,720.00
Vivek Automobiles - 445,339.00 491,402.50
The Nice Ladies Tailors - 545,350.00 848,088.00
Hotel Yak & Yeti (Room) - 2,358,289.00 3,184,437.12
D.M. Cold Store - 253,787.00 399,194.00
Real Himalayan Mineral Water - 106,200.00 122,400.00
Bishal Traders - 527,795.00 564,075.00
N.R. Store - 1,413,402.00 1,725,060.00
Seti Cigarette Factory - 464,150.96 501,998.45
Bajrangi Pan Pasal - 754,365.00 789,648.00
Maha Laxmi Trading Centre - 140,000.00 140,000.00
C.F.T. - 2,035,590.76 2,312,899.24
Anisha Traders - 2,721,255.32 3,086,618.22
Hotel Crown Plaza - 293,021.36 323,213.60
EXCOM International - 35,000.00 35,000.00
National Computer 38,685.00 199,610.00 160,925.00
Taleju Bhawani Trade Centre - 3,012,410.30 3,080,395.28
S.S. Meat Shop - 2,031,565.00 2,315,634.00
Bikram Enterprises - 34,940.00 35,340.00
Anand Oriantal Decorator - 68,247.26 68,247.76
Central Media - 2,872,704.00 2,872,704.00
Prakash Thapaliya - 1,476,300.00 1,593,515.00
M1 Private Limited - 536,200.00 555,644.00
Arkatik International Nepal Pvt. Ltd. - 90,020.00 90,354.99
D.R. Traders & Suppliers - 874,830.00 934,230.00
Vinayak Stationery & Suppliers - 30,000.00 30,000.00
Nepal Traveller Publication - 33,900.00 33,900.00
Landmark Realty & Hotel Apartment Pvt. Ltd. - 250,558.00 250,558.00
Govinda Vegetable - 1,576,029.50 1,795,539.70
Nepalese Handycraft & Gift Centre - 21,300.00 21,300.00
Samrat Enterprises - 32,770.00 32,770.00
Niraj Panta - 480,600.00 594,918.00
Siyaran Traders - 275,300.00 318,622.19
Shiva Enterprises - 67,188.00 72,093.90
Girdhar Printers - 17,200.00 17,573.10
Rangoli Fashion - 136,400.00 136,400.00
Keshab Dairy - 204,805.00 219,925.00
Adbox Pvt. Ltd. - 41,400.00 58,783.00
Astha Traders - 247,500.00 248,765.76
Harish Darshan Karki - 30,500.00 30,500.00
Global Max - 21,440.00 21,440.03
Mukti Tailors - 243,084.00 317,579.00
Uma Maheshwor Enterprises - 22,148.00 22,148.00
Om Khakti Enterprises - 470,102.00 470,102.00
Hotel Annapurna - 51,609.00 51,609.00
Dos Trading Pvt. Ltd. - 172,042.00 172,042.50
Meta Art Concern - 27,900.00 27,900.00
Hospitality Suppliers - 83,430.00 33,750.00
Everest Gas Udhyog - 565,440.00 639,839.98
Shree Vishnu Devi Drinking Water - 76,000.00 102,630.00
Mayas Trading & Suppliers - 35,910.00 62,460.00
Kalkatta Sweets - 110,000.00 110,000.00
Mayour Tailors - 50,000.00 96,200.00
S. Lal - 96,390.00 96,390.00
Police Wefare Petrol Pump - 1,045,364.00 645,364.20
Gajur Mukhi Medical Hall - 21,030.00 39,031.00
Gyanendra Jee - 98,400.00 149,165.00
Harati Computer Service P. Ltd. - 100,000.00 399,420.00
Samrat Trading House - 100,000.00 166,800.00
Sky Cable TV Pvt. Ltd. - - 12,599.99
Nabiko Pvt. Ltd. - 1,481.49 1,481.49
Gilt Hydro Pvt.Ltd. - - 2,000,000.00
TAX DEDUCTION AT SOURCE
Tax Deduction At Source (Office Rent) - 480,000.00 2,490,000.00
Tax Deduction At Source (Staff) - - 964,344.85
Tax Deduction At Source (Vehicles) - - 62,823.67
Tax Deduction At Source (Gratuity) - - 55,540.09
Tax Deduction At Source (Audit Fee) - - 2,655.00
PAYABLES
Audit Fee Payable - - 197,345.00
Vehicle Rent Payable 34,484.00 1,754,878.16 1,770,705.36
Office Rent Payable - 10,944,000.00 21,915,000.00
Other Payable (HP) - 16,320,000.00 16,320,000.00
Other Payable - 574,440.00 1,511,600.00
Casino Royale Staff Welfare Fund 85,000.00 505,566.00 420,566.00
Nagarik Lagani Kosh 1,566,225.00 5,921,924.00 8,924,390.00
Provident Fund Deduction - 3,019,107.62 7,704,012.62
Royaltyt Payable (HMG) - - 8,333,333.36
Salary & Allowance Payable - 56,317,779.19 57,663,837.99
Staff Welfare (Union) 327,978.22 2,408,511.49 2,080,533.27
D.K. Arora - 2,000,000.00 2,000,000.00
Vehicle Rent Payable(Buses) 13,227.50 2,900,000.00 3,131,889.00
Moon Sun Travels & Tours - 74,122.00 74,122.00
Verge Veyage - 134,283.00 134,283.00
Office Rent Payable (P.P. Acharya) - 540,000.00 123,750.00
Office Rent Payable (Babita Sherpa) - 74,621.00 123,750.00
Office Rent Payable (Ashok Rana) - 197,415.00 123,750.00
Office Rent Payable (Kabindra Johnchhe) - 440,000.00 123,750.00
HIREPURCHASE LOAN
Moterbike Instalment Payable (Staff) - 1,385,550.00 1,433,832.00
Everest Bank (9308) - 120,046.97 120,046.97
Everest Bank (515) - 70,570.67 70,570.67
Everest Bank (8561) - 77,278.40 77,278.40
Everest Bank (2343) - 64,580.98 64,580.98
Everest Bank (5199) - 118,574.26 118,574.26
Everest Bank (2205) - 100,003.84 100,003.84
Everest Bank (2176) - 118,015.82 118,015.82
ASSETS
Opening Balance Difference Account 3,664,764.16 - -
FURNITURE & EQUIPMENT
Electric Equipment - 1,113,164.50 -
Floring & Furnishing (Carpet) - - -
Furniture & Fixture: Steel - - -
Furniture & Fixture: Wooden - - -
Leasehold Improvement - - -
Office Equiment - 77,300.00 -
Other Assets - - -
Vehicle - - -
Computer & Assessories - 110,190.00 -
Sundry Debtors - - -
Hotel Yak & Yeti (Coupon Sale) - 230,400.00 -
BANK ACCOUNT
Nabil Bank (NC A/C) - 9,293,894.92 9,009,137.60
IME Financial Institute Ltd. ( NC A/C ) - 54,656,569.60 54,469,878.32
Everest Bank A/C - 669,070.94 669,070.94
Nepal Investment Bank (NC A/C) - 34,898,590.20 34,670,050.00
Himalayan Bank (NC A/C) - 16,323,475.28 15,475,190.00
Nabil Bank ($ A/C) - 1,380,214.40 1,380,214.40
Sidhartha Bank (NC A/C) - 30,233,779.19 30,127,969.40
CASH BALANCE
$ Cash BR - 2,573,440.00 2,573,440.00
IC Cash BR 1,313,758.40 260,118,943.72 260,102,217.32
Credit Card (NB) - 9,012,520.00 9,012,520.00
Credit Card (I B) - 36,130,680.00 36,130,680.00
Petty Cash (A) - 86,473,564.22 86,473,564.22
Petty Cash (B) - 9,363,373.00 9,286,619.25
Credit Card (ATM) - 10,367,600.00 10,000,900.00
Gratuity Fund - 7,900,000.00 -
Credit Card (HB) - 18,254,240.00 18,254,240.00
Cash at Slot - 1,270,872.00 -
BILLS RECEIVABLE
THE EXPLORERS:
TDS Receivable - 18,007.15 -
DEPOSITS
Deposit: Bottlers Nepal - - -
Deposit: Gas Cylinders - - -
Deposit: Himalayan Petro Chemical - - -
Deposit: Nepal Gas - - -
Deposit: Sky Cable - - -
Deposit: Soft Drink Crates - - -
Deposit: Telephone - - -
INVENTORIES
Stock of Cigarettes 116,039.88 4,050,413.43 4,088,359.60
Stock of Electricals 46,158.80 1,808,118.70 1,835,129.03
Stock of Groceries 237,168.97 20,793,527.29 20,842,341.10
Stock of Housekeeping 39,932.50 1,486,624.94 1,467,206.87
Stock of Kitchenware/Utensils 6,580.00 390,754.00 396,077.00
Stock of Liquors 941,543.25 8,875,059.11 9,050,379.50
Stock of Printed FOrms 113,458.28 352,669.67 337,797.74
Stock of Soft Drink 93,935.54 2,679,114.29 2,707,376.31
Stock of Stationeries 34,898.81 362,052.78 371,182.07
Stock of Kitchen Fuel 123,705.06 1,952,365.48 1,994,376.02
ADVANCES
Advance For Expenses - 59,000.00 49,000.00
Advance for Purchase 227,847.74 6,237,000.00 6,436,683.15
Staff Advance Salary 2,465,976.57 3,840,959.84 4,629,025.07
Prepaid Exp. - - -
Ahi8m Adhikari - - -
Staff TDS Advance - - -
Growing Pvt. Ltd. - 1,460,000.00 -
Advance for Vehicle Purchase - 200,000.00 -
Credit Card Receivable (Nabil Bank Ltd) - 3,781,148.94 -
Credit Card receivable (NIBL) - 1,372,815.83 -
INCOME
BANK GAMES
$ Bank Games - - -
IC Bank Games - - 153,776,640.00
Income: Casino Coupons - - 230,400.00
Income : Paplu - - -
Miscellaneous Income - - 222,184.17
Income Slot New - - -
Income: Slot Machine - - -
OTHER INCOME - - -
Interest Income - - 120,047.67
New Year Ticket Sale - - 518,400.00
IPL Income - - 8,552.00
New Slot Commission - - 11,748,363.20
Old Slot Commossion - - 3,648,986.40
Flus Puplu Commission - - 11,330,249.60
EXPENSE
OPERATING EXPENSES
Licence Fee - - -
Royalty Expenses - 8,333,333.36 -
CUSTOMER SERVICE
Cost of ICE Cream - 93,935.84 -
Cost of Soft Drink - 2,709,651.31 -
Guest Food Consumption - 21,454,442.14 -
Liquor & Cigarette - 13,474,052.18 -
Hotel Accommodation - 7,173,987.52 -
Travelling Exp. - 549,247.00 -
FOOD EXPENSES
Cost of Food - 86,273.29 -
Staff Canteen Consumption - - 961,100.00
STAFF SALARY AND ALLOWANCES
Co.'s Contribution to PF - 4,246,533.31 -
Dashain Incentive - - -
Food Allowance - 1,912,394.50 -
Laundry Allowance - 514,485.26 -
NonGaming Allowance - 434,856.51 -
Part Time Salary - 2,669,942.51 -
Staff Dearness Allowance - 9,141,261.30 -
Staff House Allowance - 4,689,461.64 -
Staff Incentive - 15,495,725.00 -
Staff Overtime Allowance - 6,060,795.07 -
Staff Salary - 44,397,739.08 -
Staff Special Casino Allowance - 4,979,817.48 -
Staff Education Allowance - 642,400.00 -
Staff Medical Reimburshment - 1,754,550.49 -
STAFF BENIFIT
Staff Uniform Exp. - 4,437,311.51 -
Mourning Exp. - 60,000.00 -
CONVEYANCE
Local Transportation - 101,510.00 -
Vehicle Hire Charge - 1,879,776.65 -
Vehicle Repair Exp. - 1,431,924.45 -
Vehicle Running Cost - 6,004,471.23 180,090.00
ADMINISTRATIVE EXPENSES
UTILITIES
Electricity Charge - 1,628,401.63 -
Kitchen Fuel Exp. - 2,094,186.03 -
Water Charge - 2,747.52 -
PRINTING & STATIONERY
Printing Expenses - 338,797.74 -
Stationery (Exp) - 423,756.07 -
REPAIRMENT
Building Repair - 195,137.27 -
Electrical Repair - 1,911,018.92 -
Furniture Repair - 37,760.00 -
Office Equipment Reapir - 3,450.00 -
DEPRECIATION
Advertisement Exp - 193,333.00 -
Audit Fee - 200,000.00 -
bank Charges - 1,754,463.97 46,410.00
Books & Periodicals - 8,100.00 -
Depreciation. - - -
Donation - 33,713.00 -
Flower & Bouquet - 200.00 -
Govt. Fees & Taxes - 48,575.00 -
Housekeeping /Toiletories - 1,676,055.37 -
Insurance - 500,000.00 -
Sport Activities - 606,123.00 -
Kitchenware/Utensils - 631,726.00 -
Laundry Expenses - 237,576.65 -
Miscellaneous Exp - 1,357.49 -
Office Rent - 24,900,000.00 -
Telephone/Telex/Fax - 1,588,425.49 -
Staff Gratuity Exp - 1,641,113.58 -
Total 5,761,003.80 5,761,003.80 1,010,342,413.25 1,010,342,413.25
Closing Balance
Debit Credit
-
-
-
-
-
-
-
-
-
23,817.98
40,420.60
0.65
-
522,940.00
0.56
343,835.50
33,648.00
358,305.00
112.13
95,423.50
37,458.00
21,225.05
20.00
10,015.00
72,880.00
11,960.00
9,147.00
928,813.21
58,921.00
33,366.50
-
19,152.55
28,901.27
17,194.10
809,145.00
-
20,580.00
20,411.35
141,660.00
46,063.50
302,738.00
826,148.12
145,407.00
16,200.00
36,280.00
311,658.00
37,847.49
35,283.00
-
277,308.48
365,362.90
30,192.24
-
-
67,984.98
284,069.00
400.00
0.50
-
117,215.00
19,444.00
334.99
59,400.00
-
-
-
219,510.20
-
-
114,318.00
43,322.19
4,905.90
373.10
-
15,120.00
17,383.00
1,265.76
-
0.03
74,495.00
-
-
-
0.50
-
49,680.00
74,399.98
26,630.00
26,550.00
-
46,200.00
-
399,999.80
18,001.00
50,765.00
299,420.00
66,800.00
12,599.99
-
2,000,000.00
2,010,000.00
964,344.85
62,823.67
55,540.09
2,655.00
197,345.00
50,311.20
10,971,000.00
-
937,160.00
-
4,568,691.00
4,684,905.00
8,333,333.36
1,346,058.80
-
-
245,116.50
-
-
416,250.00
49,129.00
73,665.00
316,250.00
48,282.00
-
-
-
-
-
-
-
3,664,764.16
1,113,164.50
-
-
-
-
77,300.00
-
-
110,190.00
-
230,400.00
284,757.32
186,691.28
-
228,540.20
848,285.28
-
105,809.79
-
1,330,484.80
-
-
-
76,753.75
366,700.00
7,900,000.00
-
1,270,872.00
18,007.15
-
-
-
-
-
-
-
78,093.71
19,148.47
188,355.16
59,350.57
1,257.00
766,222.86
128,330.21
65,673.52
25,769.52
81,694.52
10,000.00
28,164.59
1,677,911.34
-
-
-
1,460,000.00
200,000.00
3,781,148.94
1,372,815.83
-
153,776,640.00
230,400.00
-
222,184.17
-
-
-
120,047.67
518,400.00
8,552.00
11,748,363.20
3,648,986.40
11,330,249.60
-
8,333,333.36
93,935.84
2,709,651.31
21,454,442.14
13,474,052.18
7,173,987.52
549,247.00
86,273.29
961,100.00
4,246,533.31
-
1,912,394.50
514,485.26
434,856.51
2,669,942.51
9,141,261.30
4,689,461.64
15,495,725.00
6,060,795.07
44,397,739.08
4,979,817.48
642,400.00
1,754,550.49
4,437,311.51
60,000.00
101,510.00
1,879,776.65
1,431,924.45
5,824,381.23
1,628,401.63
2,094,186.03
2,747.52
338,797.74
423,756.07
195,137.27
1,911,018.92
37,760.00
3,450.00
193,333.00
200,000.00
1,708,053.97
8,100.00
-
33,713.00
200.00
48,575.00
1,676,055.37
500,000.00
606,123.00
631,726.00
237,576.65
1,357.49
24,900,000.00
1,588,425.49
1,641,113.58
230,507,133.47 230,507,133.47
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Income Statement 2068/69
As Per Income Tax Act 2058
Particulars Amounts
A Income
Direct Incomes A1 29,176,855.00
Other income (List Attached) A2 Err:509
Total Income (B) Err:509
B Expenses/Deductions Amounts
Direct Expenses Under Section 13 B1 Err:509
Administrative expenses (List Attached) Under Section 13 B2 Err:509
Interest expenses Under section 14 B3 -
Cost of Inventory Sold Under Section 15 -
Repair and Maintenance Under Section 16 B4 -
Polution Control Expenses Under section 17 -
Research and Development Expenses Under Section 18 -
Depreciation Under Section 19 B5 -
Total Expenses/Deductions (B) Err:509
C Not Allowable Expenses As per Income Tax Act 2058
Unsupported Expenses Err:509
Loose Invoice (Unsupported) -
Expenses Paid more than 50000 in Cash -
Donation Expenses -
Prior Period Expenses -
Fine & Penalties Err:509
Total not Allowable Expenses (C) Err:509
A1 Direct Income
Particulars Amounts
Income From Outsourcing 4,930,350.00
Total 4,930,350.00
A2 Other Income
Particulars Amounts
Interest Income -
Other Income (Bonus) Err:509
Err:509
Total Err:509
B1 Direct Expenses
Particulars Amounts
Taxable Amount (6,636,500.00)
Less: Closing Stock Err:509
Err:509 Err:509
Err:509
Particulars/Pool of Assets A B C D E
Opening WDV - - - - -
Addition(As per Sec. 2(5) of Ann. of IT Act 2058 - #REF! - - -
Disposal - - - - -
Closing Depreciation Basis (Disposal Gain) - #REF! - - -
Rate of Depreciation 5.00% 25.00% 20.00% 15.00%
Depreciation As per Section 19 and Annexure 2(5) - #REF! - - -
Opening WDV for Next Year
Net closing WDV of current year - #REF! - - -
Unabsorbed addition - #REF! - - -
Capitalised portion of Repair and Maintenance - #REF! - - -
Tatal Opening WDV for Next Year - #REF! - - -
Particulars/Pool of Assets A B C D E
WDV for Repair and Maintenance - #REF! - - -
7% of WDV - #REF! - - -
Actual Repai and Maintenance - - - - -
Repair and Maintenance As per IT Act, 2058 - #REF! - - -
Capitalised portion of Repair and Maitenance - #REF! - - -
As per sec2(5) of Annexure of income Tax Act 2058 :Addition during the yaer
Particulars/Pool of Assets A B C D E
Total Cost of Addition During The Year - #REF! - - -
Purchase upto Poush - - - - -
Purchase from Magh to Chaitra - - - - -
Purchase from Baishak to Ashadh #REF! - -
Total Absorbed Addition - #REF! - - -
Unabsorbed Addition (Addition for next year) - #REF! - - -
Poush to
Particulars Date Amount Up to Poush Chaitra
Building and Structure
Building - - - -
- - -
Office Equipment
Computer-1 #REF! #REF! -
Computer-2 #REF! #REF! -
Computer-3 #REF! #REF! -
Computer-4 14/07/11 #REF! -
#REF! - -
Machinery Equipment
- -
-
Total - - -
Vehicle
- -
- - -
Furniture And Fixture -
Table & Chair #REF! #REF! - -
#REF! - -
Total
-
#REF!
-
#REF!
#REF!
#REF!
#REF!
#REF!
#REF!
Total
#REF!
#REF!
-
#REF!
#REF!
Total
#REF!
-
-
#REF!
#REF!
#REF!
Chaitra to
Ashadh
-
#REF!
#REF!
#REF!
#REF!
#REF!
#REF!
#REF!
Annex: B5
As per Income Tax Act 2058, Section 19 :Depreciation Basis and Depreciation
Particulars/Pool of Assets A B C D E
Opening WDV - - - - -
Addition(As per Sec. 2(5) of Ann. of IT Act 2058 - - - - -
Disposal - - - - -
Closing Depreciation Basis (Disposal Gain) - - - - -
Rate of Depreciation 5.00% 25.00% 20.00% 15.00%
Depreciation As per Section 19 and Annexure 2(5) - - - - -
Particulars/Pool of Assets A B C D E
WDV for Repair and Maintenance - - - - -
7% of WDV - - - - -
Actual Repai and Maintenance - - - - -
Repair and Maintenance As per IT Act, 2058 - - - - -
Capitalised portion of Repair and Maitenance - - - - -
As per sec2(5) of Annexure of income Tax Act 2058 :Addition during the yaer
Particulars/Pool of Assets A B C D E
Total Cost of Addition During The Year - - - - -
Purchase upto Poush - - - - -
Purchase from Magh to Chaitra - - - - -
Purchase from Baishak to Ashadh - - -
Total Absorbed Addition - - - - -
Unabsorbed Addition (Addition for next year) - - - - -
Total
-
-
-
-
-
-
-
-
Total
-
-
-
-
-
Total
-
-
-
-
-
-
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
Income Statement 2075/76
As Per Income Tax Act, 2058
Amount (NPR)
B Expenses/Deductions
Direct Expenses Under Section 13 -
Cost of Inventory Sold Under Section 15 B1 Err:509
Administrative expenses (List Attached) Under Section 13 B2 374,723.33
Interest expenses Under section 14 B3 -
Repair and Maintenance Under Section 16 B4 Err:509
Polution Control Expenses Under section 17 -
Research and Development Expenses Under Section 18 -
Depreciation Under Section 19 B6 #NAME?
Total Expenses/Deductions (B) #NAME?
C Expenses Not Deductible As per Income Tax Act 2058
Unsupported Expenses Err:509
Loose Invoice (Unsupported) -
Expenses Paid more than 50000 in Cash -
Donation Expenses -
Prior Period Expenses -
Fine & Penalties 22,000.00
Total not deductible Expenses (C) Err:509
A2 Other Income
Particulars Amount (NPR)
Interest Income -
Other Income -
-
Total -
B5 Staff Expenses
Particulars -
Wages and Salaries and Other Benefit 144,000.00
Contribution to Defined Contribution Plan(PF) & SST Err:509
Contribution to Staff Gratuity Fund Err:509
Total Err:509
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
Lalitpur, Nepal
B6
As per Income Tax Act 2058, Section 19 :Depreciation Basis and Depreciation #NAME?
Particulars/Pool of Assets A B C D E Total
As per sec. 16 of Income Tax Act, 2058: Repair and Maintenance #NAME?
Particulars/Pool of Assets A B C D E Total
WDV for Repair and Maintenance - #NAME? - #NAME? #NAME? #NAME?
7% of WDV - #NAME? - #NAME? #NAME? #NAME?
Actual Repair and Maintenance - - Err:509 - Err:509
Repair and Maintenance As per Income Tax Act, 2058 - - - Err:509 - Err:509
Capitalised portion of Repair and Maitenance - - - Err:509 - Err:509
As per sec2(5) of Annexure of income Tax Act 2058 :Addition during the yaer #NAME?
Particulars/Pool of Assets A B C D E Total
Total Cost of Addition During The Year - - - - - -
Purchase upto Poush - - - - - -
Purchase from Magh to Chaitra - - - - - -
Purchase from Baishak to Ashadh - - - - -
Total Absorbed Addition - - - - - -
Unabsorbed Addition (Addition for next year) - - - - - -
Shree Baglamukhi Masala Kutani Pisani Tatha Packaging Uddhyog
F.Y 2076/77
Schedule of Purchase, Sales & Vat
Purchase Sale
Particulars Non Taxable Amount Taxable Amount Vatable Amount Total Non Taxable Amount Taxable Amount Vatable Amount Total