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New Evershine Co-Operative Housing Society Ltd.
                                                                                               Balancesheet as on 31 March 2021
                   Mar-2020               Liablities             Brindavan    Gokul      Mathura         Total       Mar-2020              Assets           Brindavan     Gokul      Mathura      Total
                     150000.00 Authorised Capital                                                         150000.00             Fixed Assets
                                                                                                                        42078.00 Land & Building               14506.00    13957.00   13615.00     42078.00
                      48500.00 Suscribed & Paid-Up Capital         16750.00    14250.00    17500.00        48500.00      4249.44 Computers & Printers           2198.00     1816.50    2188.00      6202.50
                       2800.00 Reserve Fund                          200.00      200.00     2400.00         2800.00     18488.00 Furniture & Fixtures           5790.00     4839.00    6010.00     16639.00
                    1045000.00 Betterment charges                 329290.00   372810.00   445900.00      1148000.00     35287.00 Water Pumps                    8214.00    15098.00    6682.00     29994.00
                    5406154.00 Sinking fund                      1809574.00  1671198.00  1893334.00      5374106.00      1330.00 Tools & Equipments              565.00      565.00       0.00      1130.00
                    2008118.00 Accured Int On FDR's               610518.00  1103385.00   592020.00      2305923.00      7337.00 Sound System For office        2035.00     1701.00    2501.00      6237.00
                                                                                                                        28331.00 CC TV Camera                  10069.00     8629.00    9788.00     28486.00
                               Current Liablities & Provision                                                                    Investment
                      14860.00 Audit Fees Payable                  11859.00     9912.00    12389.00        34160.00     12115.00 FD Ganesh Collection           4206.00     3515.00    4394.00     12115.00
                     183698.00 Major Repairs Account  (Inter Trn)      0.00    26067.00   -27925.00        -1858.00   4889431.00 FD MDCC Bank                1732533.00  2709346.00  1077661.00  5519540.00
                      37196.00 Electricity charges Payable          8855.00     4250.00    21929.00        35034.00    149170.00 Accured Int On FDR's          48534.00   113761.00   44323.00    206618.00
                    1402112.00 Water Charges Payable              226220.00    81454.00  1099056.00      1406730.00      1000.00 Share MDCC Bank                 346.00      295.00     359.00      1000.00
                          0.00 Education Fund                          0.00        0.00        0.00            0.00       100.00 Share HSG Federation             33.00       33.00      34.00       100.00
                     132997.00 Salary Payable                      44037.00    38038.00    47547.00       129622.00              Cash and Bank Balanecs
                               Welfare Fund                         3000.00                                 3000.00    541342.71 MDCC Bank                     63608.89   306269.84  204713.55    574592.28
                               Loans & Liablities                                                                       27881.97 MDCC Common A/c.63             3374.00    -5378.53   17147.00     15142.47
                     500000.00 Raheja Builders                    173575.00   145078.00   181347.00       500000.00      5216.00 Petty Cash                     1982.00     2704.00     904.00      5590.00
                                Mathura Loan                          -2.00                                   -2.00         0.00 MDCC Bank  Repair A/c.            0.00   301809.00  238179.00    539988.00
                               Excess Of Income Over Exp  on MR        0.00  246485.00    379380.00       625865.00   8762913.00 Dues from Members           7725062.00  1528798.00  738254.00   9992114.00
                    4568876.58 Excess Of Income Over Expenses(Old)  4972281.84  862638.08                5834919.92              Dues from Members MR                     -55324.00  141201.00     85877.00
                    1266043.34 Profit For the year               1426271.05   408721.73                  1834992.78     47365.00 Deposits                       9373.00    32053.00    5939.00     47365.00
                                                                                                                      1686059.80 Excess Of Expenses Over Income  (Old)              2042719.80   2042719.80
                                                                                                                       356660.00 Loss For the year                                  108264.65     108264.65


                   16616354.92              Total                9632428.89  4984486.81  4664877.00     19281792.70                        Total             9632428.89  4984486.81  4664877.00  19281792.70

                              As per attached report on even date                      -                      -                      -                                -  For New Evershine Co-op Hsg. Soc.Ltd.
                              For Vivek Agrawal & Co
                              Chartered Accountants


                               Vivek K . Agrawal
                               (Proprietor)                                                                                                      Hon .Chairman/  Hon. Secretary /  Hon.Treasurer
                               P . No. 15858
                               PLACE :MUMBAI
                               DATED:  Feb-2022
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