The following was the Receipts and …

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The following was the Receipts and Payments Account of Exe Club for the year ended
Dec. 31, 2005
Receipts Rs. Payments Rs.
Cash in hand 100 Groundsman's Fee 750
Bank Deposit Account 2230 Moving Machine 1500
Bank Current Account 600 Rent of Ground 250
Bank Interest 30 Cost of Teas 250
Donations and Subscriptions 2600 Fares 400
Receipts from teas 300 Printing & Office Expenses 280
Contribution to fares 100 Repairs to Equipment 500
Sale of Equipment 80 Honoraria to Secretary
Entertainment 780 and Treasurer of 2004 400
Donation for Tournament 1000 Bank Account
Deposite 3090
Current 150
Cash In Hand 250
7820 7820
You are given the following additional information : Jan. 1 2005 Rs. Dec. 31 2005 Rs.
Subscription due 150 100
Amount due for printing etc. 100 80
Cheques not presented being payment for repairs 300 260
Estimated value of machinery and equipment 800 1750
Interest not yet entered in the Pass book 20
Bonus to Groundsman 300
For the year ended Dec. 31, 2005, the honoraria to the Secretary and Treasurer are to be increased
by a total of Rs. 200.
Prepare the Income and Expenditure Account for 2005 and the relevant Balance Sheet.
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