Accounts Payable Template is a document which records invoices of goods purchased by us on credit. No upfront cash is paid. In other words, our creditors whom we are liable to pay them during a specific time. All kind of Payable is the liability for any company and is recorded in the current liabilities section. […]
Trial Balance Excel Template is a ready-to-use template which enables you to make the statement of all closing balances of ledger accounts on a certain date.
Purchase Return Book is a subsidiary book of accounts which records the goods returned to our suppliers. It is also called return outward book. Usually, when poor quality, inaccurate quantity, untimely delivery goods are received, we return those goods to the suppliers. Purchases returns or returns outwards, are a normal part of the business. You need to […]
Cash Flow Statement is a financial statement that reports the cash generated and spent during a specific time interval by any company. It is one of the main financial statements. In other words, this statement allows you to understand how operations your company run. It gives you an overview of where the money is coming […]
Petty Cash Book is a ready-to-use Excel template to systematically record and manage your petty or small daily routine payments. Large businesses maintain Petty Cash Book to reduce the burden of ‘Main Cash Book’. by recording sundry expenses like postal, stationery, pantry, loading, etc. What is a Petty Cash Book? Petty Cash Book is a book […]