Individual Assessment Year 2009-10 Pan No.

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INDIVIDUAL Assessment Year 2009-10 PAN NO.

:
STATEMENT OF COMPUTATION OF TOTAL INCOME FOR THE YEAR ENDED 31ST MARCH 2009
Income From : Business & Profession Other Sources Gross Total Income Deduction Under Chapter VI-A Net Taxable Income Rounded off To Income Tax On Above TDS Refund Due Amount Amount 36056 211 36267 0 36267 36270 0 0 0

I. II.

Less:

Less:

Summary for the period 1.4.2008 to 31.03.2009


Bank of India Date Pymt Debit Amt. ate D Recpt 01.04.2008 Opening Balance To 04.04.2008 Drawings To 600.00 06.04.2008 Professional fees received By 30.04.2008 Drawings To 800 21.05.2008 Professional Fees received By 17.05.2008 Drawings To 2800 30.05.2008 Professional fees received By 20.05.2008 Drawings To 3500 03.06.2008 Professional fees received By 07.07.2008 Drawings To 12000 18.06.2008 Professional fees received By 08.07.2008 Drawings To 1500 26.06.2008 Professional fees received By 11.09.2008 Drawings To 15000 29.07.2008 Professional fees received By 11.09.2008 Drawings To 600 04.08.2008 Saving Bank Interest By 16.09.2008 Drawings To 1200 12.08.2008 Professional fees received By 03.11.2008 Drawings To 242 25.10.2008 Professional fees received By To Printing And 07.03.2009 Stationery 1000 08.12.2008 Professional fees received By To Printing And 07.03.2009 Stationery 58 28.01.2009 Professional fees received By To Telephone 19.03.2009 500 03.02.2009 Saving Bank Interest By Expenses To Telephone 24.03.2009 Expenses 23 09.02.2009 Professional fees received By 24.03.2009 Drawings To 1612 20.02.2009 Professional fees received By To Conveyance 24.03.2009 65 12.03.2009 Professional Fees received By Allowance To Conveyance 31.03.2009 500 Allowance 31.03.2009 Closing Balance By 6456.00

Considelated Summary For The Year Ended 31.03.2009


Date Pymt Debit Amt. ate D Recpt 01.04.2008 Opening Balance To 10254 31.03.2009 Professional fees received By 31.03.2009 Drawings To 39854 31.03.2009 Saving Bank Interest By To Conveyance 31.03.2009 Allowance 565 To Telephone Expenses 31.03.2009 523

To Printing And Stationery 31.03.2009

1058 31.03.2009 Closing Balance By

03.2009
Credit Amt. 10254 2500 7180 800 1500 2000 3600 5600 160 5000 800

1000

2300 51 1111 1000

3600

31.03.2009
Credit Amt. 37991 211

6456

INDIVIDUAL Assessment Year 2010-11 PAN NO. :


STATEMENT OF COMPUTATION OF TOTAL INCOME FOR THE YEAR ENDED 31ST MARCH 2010
Income From : Business & Profession Other Sources Gross Total Income Deduction Under Chapter VI-A U/S 80 C LIC Amount Amount 76157 957 77114 0 12000 12000 100000

I. II.

Less:

Amount Restricted To Net Taxable Income Rounded off To Income Tax On Above TDS Refund Due

12000 65114 65110 0 0 0

Less:

Summary for the period 1.4.2009 to 31.03.2010


Bank of India Date Paymt To Telephone 26.05.2009Expenses To Printing And 10.09.2009Stationery To Conveyance 05.01.2010Allowance Debit Amt.Date Recpt 01.04.2009 Opening Balance To 272.00 20.04.2009 Professional Fees received By 2504 27.04.2009 Professional Fees received By 1255 28.05.2009 By 02.07.2009 By 17.07.2009 By 25.07.2009 By 27.07.2009 By 10.08.2009 By 18.08.2009 By 16.09.2009 By 03.11.2009 By 29.12.2009 By 06.01.2010 By 22.01.2010 By 18.02.2010 By 64923 23.03.2010 By Professional Professional Professional Professional Professional Professional Professional Professional Professional Professional Professional Professional Professional Professional Fees Fees Fees Fees Fees Fees Fees Fees Fees Fees Fees Fees Fees Fees received received received received received received received received received received for Writing received received received

31.03.2010By Closing Balance

State Bank of India Pymt Recpt 18-Feb-10 Drawings 272 21-Dec-09 By Prof fees recd (cash deposit) 11-Mar-10 Bank Charges 25 18-Feb-10 By Prof fess recd 13-Mar-10 LIP 12000 11-Mar-10 By Prof fess recd 31-Mar-10 Telephone Expenses 328 To Bal C/d 6375.00

Considelated Summary For The Year Ended 31.03.2010


Date Pymt Debit Amt.Date Recpt

11-Mar-10 Bank Charges 13-Mar-10 LIP 31.03.2010To Drawings To Conveyance 31.03.2010Allowance To Telephone 31.03.2010Expenses To Printing And 31.03.2010Stationery

25 01.04.2009 Opening Balance To 12000 31.03.2010 Professional fees received By 272 31.03.2010 Suspense A/c By 1255 31.03.2010 Saving Bank Interest By 669 2504

31.03.2010By Closing Balance

71298

3.2010
Credit Amt. 6456 2500 1050 2300 6660 550 2100 700 4400 8800 7550 9900 7000 50 6100 1000 1000

1000.00 10000.00 8000.00

31.03.2010
Credit Amt.

6456 80660.00

907

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