Schedule III Companies Act - PPT 06.09.2018
Schedule III Companies Act - PPT 06.09.2018
Schedule III Companies Act - PPT 06.09.2018
Equity and
Liabilities
Share Appn
Shareholders Non Current Current
Money pending
Funds Liabilities Liabilities
allotment
EQUITY AND LIABILITIES
• Share Capital
• Reserves and surplus
Shareholder’s Funds
• Money received against Share
warrants
• Long term Borrowings
• DTL
Non Current Liabilities
• Other Long term liabilities
• Long- term provisions
• Short- term borrowings
• Trade Payables
Current Liabilities
• Other Current Liabilities
• Short term provisions
ASSETS CLASSIFICATION
Settled in normal
operating cycle
Expected to be settled Held primarily for trading
in 12 months after No unconditional right to
reporting date defer settlement for at least
12 months after reporting
date
CURRENT AND NON- CURRENT
Trading Restriction
Expected to be
Realised in
realised in 12 Cash or cash
normal
months after equivalence
Held primarily
operating cycle
reporting date unless
for trading
restricted to
Operating
Realization settle liabilty
cycle
OPERATING CYCLE
Processing into
Realizing cash Work in progress period +
finished goods
Finished Goods holding
period +
Sale of goods
Receivable Collection Period
Bonds/ debentures
Term loans – Banks / Others Trade payables
Deposits Others
Loans from related party
Long term maturity - fin lease
Secured – unsecured classify LONG TERM PROVISIONS
Loans guaranteed by directors
or others
Bonds/debentures descending
Provision for employee benefits
order of conversion
Others (specify nature)
Terms of repayment of term
loans and other loan
Default – loans and interest Same reporting for Short term provisions
NOTES TO BALANCE SHEET
Classify as
Assets under Classification as goodwill, Brand,
Land,
lease trademarks, computer software etc
buildings,
mentioned
P&M, FF, OE,
separately
Vehicles etc
Reconciliation of gross and net
carrying amounts
Revaluation :
Reconcile
Amount and
gross and net
date to be
carrying Revaluation : Amount and date to be
shown for 5
amounts shown for 5 years
yrs.
NOTES TO BALANCE SHEET
Allowance for bad and doubtful Allowance bad and doubtful loans
loans disclosed separately disclosed separately
NOTES TO BALANCE SHEET
INVENTORIES
Mode of
valuation to be
Goods-in-transit stated
disclosed under
Classified as raw the relevant sub-
materials, WIP, head of
Finished goods, inventories
stock in trade,
stores & spares etc
Aggregate amount outstanding
for a period of > 6 months
Further classified as Secured,
TRADE RECEIVABLES
unsecured and doubtful
Due by directors/ offices jointly
or severally
Earmarked Classified as
Bank deposits Balances with balances with balances with
Repatriation
with more banks to the banks to be banks,
restrictions in
than twelve extent held as stated cheques,
case of cash
months margin money separately eg: drafts in hand,
and bank bal
maturity or security unpaid Cash on hand
dividend & others
CASH AND CASH EQUIVALENTS
NOTES TO BALANCE SHEET
NOTES TO PROFIT & LOSS A/C
OTHER INCOME
Revenue
from
operations
Income not arising from the
company’s main activities
Eg :
Interest income ( Non finance TOTAL
companies) REVENUE
Dividend income
Net gain or loss on sale of
investments
Other non- operating income Other
Income
NOTES TO PROFIT & LOSS A/C
COST OF MATERIALS
PURCHASES OF STOCK- IN TRADE
CONSUMED
EMPLOYEE BENEFIT
DEPRECIATION
EXPENSES