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GST Returns

Course Code 
GST - 04

Class Room Training : 12 - 20 Hrs
E-Learning Facility:One Year Free Login
Eligibility : 10+2 / Pursuing Graduation / Graduate
Suitable for : Understanding and filing GST Returns

Certificate : GST CENTRE – Participation Certificate.
The Association of GST Professionals, India *

Students can appear Exam after completion  of Classroom Training.
Syllabus

Chapter 1

Introduction

Chapter 2

Filing GSTR-3B

 

Chapter 3

Filing GSTR - 1

 

Chapter 4

GSTR - 2A and GSTR - 2

 

 DIPLOMA IN MANUAL ACCOUNTING
  Course Code  :AC - 01
  Class Room Training : 36 - 60 Hrs
  E-Learning Facility  : One Year Free Login
  Eligibility  :: 10+2 / Equivalent
  Suitable for : Everyone Who likes to Improve their Skills and more Productive at Work using advanced function can choose this course and who wants to Learn    Interesting tips & tricks can choose this course.
  Certificate : GST CENTRE – Participation Certificate.
  The Association of GST Professionals, India *

  Students can appear Exam after completion of 25 Hours of Classroom Training. Syllabus
Chapter 1
Basics of Accounting
  Basics of Accounting
  Book-keeping and Accounting
   Assignment 1 - Identify Event and Transaction
   Assignment 2 - Identify Assets and Liabilities
   Assignment 3 - Identify Expense and Income
    Assignment 4 - State with reason whether the following statement true or false
  Chapter 2
Accounting Concept
     Accounting Concept
     System of Book Keeping
     Assignment 1 - Accounting Concept  
    Chapter 3
Capital and Revenue Transactions  
      Capital and Revenue Transactions
      Assignment 1 - Classify as Capital and Revenue Expenditure
      Assignment 2 - State with reason whether each of the                         
      following expenditure is Capital or Revenue

      Assignment 3 - State with reason whether each of the   following are Capital or Revenue expenditure
      Assignment 4 - Classify the following as Capital / Revenue receipts
      Assignment 5 - State with reason whether the following   statement true or false
        Chapter 4
 Account  
    Account   Rules for Debit and Credit 
    Modern Rules
    Assignment 1 - Classify the following as Personal, Real and   Nominal
    Assignment 2 - Name the accounts involved in each of the     following transactions
    Assignment 3 - Ascertain Debits and Credits
    Assignment 4 - Name the Accounts to debited and credited

Chapter 5

Journal Entries Journal Entries

  Assignment 1 - Journalize the following Transactions
  Assignment 2 - Journalize the following Transactions Run Spelling and Grammar Check
  Assignment 3 - Journalize the following Transactions   Amarnath & Bros 
  Assignment 4 - Rewrite the entries if they wrong by using   narrations
  Assignment 5 - Rewrite the narrations if they wrong by using  entries
  Assignment 6 - Write the Narrations for the entries
  Assignment 7 - Journalize the following Transactions
  Assignment 8 - Journalize the following Transactions in the books of Vikram & Bros
  Assignment 9 - Journalize the following Transactions
    Chapter 6
Ledger
Ledger   Assignment 1 - Prepare Cash A/c
Assignment 2 - From the ledger accounts pass the journal   entries
Assignment 3 - Journalize the following Transactions and post  it to ledger     
    
Chapter 7
Cash Book
    Cashbook
    Assignment 1 - Enter the following transactions of B. Thaper in his cashbook and Balance the same 
   
Chapter 8
Bank Reconciliation    
Bank Reconciliation

Procedure for preparation of BRS
Assignment 1 - Bank Reconciliation
Assignment 2 - Bank Reconciliation
Assignment 3 - Bank Reconciliation

Chapter 9
Depreciation
Depreciation
Calculating amount of Depreciation
  Assignment 1 - Calculate the Amount of Depreciation
  Assignment 2 - Calculate the Amount of Depreciation
  Assignment 3 - Calculate the Amount of Depreciation
  Assignment 4 - Calculate the Amount of Depreciation
  Assignment 5 - Calculate the Amount of Depreciation

  Chapter 10
Inventory Valuation
  Inventory Valuation
  Assignment 1 - Calculate the value of closing stock using  Method FIFO, LIFO and Weighted Average
 
Chapter 11
Trial Balance
Trial Balance
Assignment 1 - Prepare Trial Balance
Assignment 2 - Correct the Trial Balance
Assignment 3 - Pass the Journal Entries, Post them to ledger and Prepare Trial Balance

Chapter 12

Bad Debt and Year-end Adjustments

   Bad Debt
   Year-end Adjustments
   Assignment 1 - Prepare the Bad Debts Account and Provision   for Doubtful Debt Account  
 
  Chapter 13
Final Accounts
   Final Accounts -Trading Account
   Final Accounts -Profit and Loss Account
   Final Accounts -Balance Sheet
   Assignment 1 - Prepare Trading and Profit and Loss A/c and   Balance Sheet
   Assignment 2 - Prepare Trading and Profit and Loss A/c and   Balance Sheet

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