Difference opening balance show in balancesheet
kindly help m in WCT-return working
i have given 1000 rs as a token money for puchase rented office then after 7000 rs as a rent ,7000 rs as a deposit and 7000 rs a brokerage so tell me how do the entry in tally erp 9
For Transfer NEFT which ledger I have to create and in which head?