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Double entry accounting for Nepal (With VAT)

Other countries
Double-Entry Accounting with vat/sales tax
Business

General template perfect to manage the double-entry accounting of a small business or a small company.

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The accounting plan presents the balance sheet accounts in several sub-groups.
The income statement has two main groups: Costs and Revenues.
The VAT code table contains sample codes and must be updated with the official codes in use in Nepal.

If any user would like to collaborate with us by sending us Nepal's VAT codes or subdividing costs and revenues into several subgroups, we will be willing to update and publish new accounting plans.

Template preview

Company XX

Basic Currency: USD

Double-entry with VAT/Sales tax

Table: Accounts
Group Description Sum In Gr1
         
    BALANCE SHEET    
         
    ASSETS    
         
    Liquid Assets 100  
  1000 Cash 100  
  1002 Cheques received 100  
  1004 Banks 100  
  1006 Cheques given and payments orders (-) 100  
  1008 Other liquid assets 100  
100   Total Liquid Assets 10  
         
    Marketable Securities    
  1010 Share certificates 105  
  1015 Private sector bonds and notes 105  
  1014 Public sector bonds and notes 105  
  1016 Other marketable securities 105  
  1018 Provisions for decrease in value of marketable securities (-) 105  
105   Total Marketable Securities 10  
         
    Trade Receivables 110  
  1110 Customers 110  
  1112 Notes receivable 110  
  1114 Rediscounts on notes receivable (-) 110  
  1116 Unearned financial leasing interest income (-) 110  
  1118 Deposits and guarantees given 110  
  1120 Other trade receivables 110  
  1122 Doubtful trade receivables 110  
  1124 Provisions for doubtful trade receivables (-) 110  
110   Total Trade Receivables 10  
         
    Other Receivables 115  
  1150 Due from subsidiaries 115  
  1152 Due from affiliates 115  
  1154 Due from personnel 115  
  1156 Other trade receivables 115  
  1158 Rediscounts on other notes receivable (-) 115  
  1160 Other doubtful receivables 115  
  1162 Provision for other doubtful receivables 115  
115   Total Other Receivables 10  
         
    Inventories 120  
  1220 Raw materials and supplies 120  
  1222 Semifiished goods, work-in process 120  
  1224 Finished goods 120  
  1226 Trade goods 120  
  1228 Other inventories 120  
  1280 Provision for decrease in value of inventories (-) 120  
  1282 Advances given for purchase orders 120  
120   Total Inventories 10  
         
    Deffered Construction and Maintenance Costs 125  
  1250 Deferred construction and maintenance costs 125  
  1252 Deferred construction inflation adjustment account 125  
  1254 Advances given to subcontractors 125  
125   Total Deffered Construction and Maintenance Costs 10  
         
    Prepaid Expenses and Income Accruals 130  
  1300 Prepaid expenses 130  
  1305 Income accruals 130  
130   Prepaid Expenses and Income Accruals 10  
         
    Other Current Assets 135  
  1350 Deferred VAT 135  
  1352 Deductible VAT 135  
  1354 Other VAT 135  
  1356 paid taxes and funds. 135  
  1358 Work advances 135  
  1360 Advances to personnel 135  
  1362 Stock count and delivery shortages 135  
  1364 Other current assets 135  
  1366 Provision for other current assets (-) 135  
135   Total Other Current Assets 10  
         
10   TOTAL CURRENT ASSETS 1  
         
    LONG-TERM ASSETS    
         
    Trade Receivables 140  
  1400 Customers 140  
  1402 Notes receivable 140  
  1406 Rediscounts on notes receivable (-) 140  
  1408 Unearned financial leasing interest income 140  
  1410 Deposits and guarantees given 140  
  1415 Provisions for doubtful receivables (-) 140  
140   Total Trade Receivables 15  
         
    Other Receivables 145  
  1450 Due from shareholders 145  
  1452 Due from affiliates 145  
  1454 Due from subsidiaries 145  
  1456 Due from personnel 145  
  1458 Other receivables 145  
  1460 Rediscounts on other notes receivable (-) 145  
  1462 Provision for other doubtful receivables (-) 145  
145   Total Other Receivables 15  
         
    Financial Fixed Assets 150  
  1500 Long-term securities 150  
  1502 Provision for decrease in value of long-term securities (-) 150  
  1504 Affiliates 150  
  1506 Capital commitments to affiliates. (-) 150  
  1508 Provision for decrease in value of shares of affiliates (-) 150  
  1510 Subsidiaries 150  
  1515 Capital commitments for subsidiaries (-) 150  
  1514 Provision for decrease in value of shares of subsidiaries (-) 150  
  1516 Other financial fixed assets 150  
  1518 Provision for decrease in value of other financial fixed assets (-) 150  
150   Total Financial Fixed Assets 15  
         
    Tangible Fixed Assets 155  
  1550 Land 155  
  1552 Land improvements 155  
  1554 Buildings 155  
  1556 Plant, machinery and equipment 155  
  1558 Motor vehicles 155  
  1560 Furniture and fixtures 155  
  1562 Other tangible fixed assets 155  
  1564 Accumulated depreciation (-) 155  
  1566 Construction in progress 155  
  1568 Advances given 155  
155   Total Tangible Fixed Assets 15  
         
    Intangible Fixed Assets 160  
  1600 Rights 160  
  1602 Goodwill 160  
  1604 Establishment and foundation expenses 160  
  1606 Research and development expenses 160  
  1608 Special costs 160  
  1610 Other intangible fixed assets 160  
  1612 Accumulated depreciation (-) 160  
  1614 Advances given 160  
160   Total Intangible Fixed Assets 15  
         
    Assets Subject to Depletion 165  
  1650 Research Expenses 165  
  1652 Preparation and development expenses 165  
  1654 Other assets subject to depletion 165  
  1656 Accumulated depletion (-) 165  
  1658 Advances given 165  
165   Total Assets Subject to Depletion 15  
         
    Prepaid Expenses and Income Accruals 170 1
  1700 Prepaid expenses 170  
  1702 Income accruals 170  
170   Total Prepaid Expenses and Income Accruals 15  
         
    Other Fixed Assets 175  
  1750 VAT deductible in future years 175  
  1752 Other VAT 175  
  1754 Long-term inventories 175  
  1756 Inventories and tangible fixed assets to be sold 175  
  1758 Prepaid taxes and funds 175  
  1760 Other fixed assets 175  
  1762 Provision for decrease in value of inventories 175 1
  1764 Accumulated depreciation 175  
175   Total Other Fixed Assets 15  
         
15   TOTAL LONG-TERM ASSETS 1  
         
1   TOTAL ACTIFS 00  
         
    LIABILITIES    
    I. Short-term Liabilities 200  
  2000 Financial Liabilities 200  
  2002 Bank loans 200  
  2004 Liabilities arising from financial leasing transactions 200  
  2006 Deferred financial leasing borrowing costs (-) 200  
  2008 Current maturities of long-term credits and accrued interest.5. Current maturities of bonds and accrued interest 200  
  2010 Bonds and notes issued 200  
  2015 Other securities issued 200  
  2014 Value difference of securities issued (-) 200  
  2016 Other financial liabilities 200  
200   Total Short-term Liabilities 20  
         
    Trade Payables 2550  
  25500 Suppliers 2550  
  25502 Notes payable 2550  
  25504 Rediscounts on notes payable (-) 2550  
  25506 Deposits and guarantees received 2550  
  25508 Other trade payables 2550  
2550   Total Trade Payables 20  
         
    Other Liabilities 2555  
  25550 Due to shareholders 2555  
  25552 Due to affiliates 2555  
  25554 Due to subsidiaries 2555  
  25556 Due to personnel 2555  
  25558 Rediscount on other notes payable (-) 2555  
  22550 Other liabilities 2555  
2555   Total Other Liabilities 20  
         
    Advances Received    
         
    Progress for Long-term Construction and Repair Projects. 220  
  2200 Progress payments for long-term construction and repair projects 220  
  2202 Long-term inflation adjustment accounts 220  
220   Total Progress for Long-term Construction and Repair Projects. 20  
         
    Taxes Payable and Other Fiscal Liabilities 225  
  2250 Taxes and funds payable 225  
  2252 Social security withholdings payable 225  
  2254 Overdue, deferred or restructured taxes and other liabilities.4. Other liabilities payable 225  
225   Total Taxes Payable and Other Fiscal Liabilities 20  
         
    Provisions for Liabilities and Expenses 230 1
  2300 Provision for income taxes and other duties on profit 230  
  2302 Prepaid income taxes and other duties on profit 230  
  2304 Provision for termination indemnities 230  
  2306 Provision for other liabilities and expenses 230  
230   Total Provisions for Liabilities and Expenses 20  
         
    Deferred Income and Expense Accruals 235  
  2350 Deferred income 235  
  2352 Expense accruals 235  
  2354 Other Short-term Liabilities 235  
  2356 VAT payable 235 1
  2358 Other VAT 235 1
  2360 Head office and branch current accounts 235  
  2362 Stock count and delivery surpluses 235 1
  2364 Other short-term liabilities 235  
235   Total Deferred Income and Expense Accruals 20  
         
20   Total Short-term Liabilities 2  
         
    II. Long-term Liabilities    
    Financial Liabilities 240  
  2402 Bank loans 240  
  2404 Leasing payables 240  
  2406 Interest payables of deferred lease costs (-) 240  
  2408 Bonds issued 240  
  2410 Other securities issued 240  
  2412 Value difference of securities issued (-) 240  
  2416 Other financial liabilities 240  
240   Total Financial Liabilities 25  
         
    Trade Payables 245  
  2450 Suppliers 245  
  2452 Notes payable 245  
  2454 Rediscounts on notes payable (-) 245  
  2456 Deposits and guarantees received 245  
  2458 Other trade payables 245  
245   Total Trade Payables 25  
         
    Other Payables 250  
  2500 Due to shareholders 250  
  2502 Due to affiliates 250  
  2504 Due to subsidiaries 250  
  2506 Rediscounts on other notes payable (-) 250  
  2508 Debts to the public sector deferred or payable by instalments 250  
  2510 Other payables 255  
250   Total Other Payables 25  
         
    Advances Received    
         
    Provisions for Debts and Expenses 255  
  2550 Provisions for termination indemnities 255  
  2052 Provisions for other debts and expenses 255  
  2054 Income Relating to Future Periods and Expense Accruals 255  
  2056 Income relating to future periods 255  
  2058 Expense accruals 255  
255   Total Provisions for Debts and Expenses 25  
         
    Other Long-term Liabilities 260  
  2600 VAT deferred to following years 260  
  2602 Other long-term liabilities. 260 1
260   Total Other Long-term Liabilities 25  
         
25   Total Long-term Liabilities 2  
         
    III Shareholders' Equity   1
    Paid-in Capital    
    Capital 265  
  2650 Unpaid capital (-) 265  
  2652 Positive distinction from share capital adjustment 265  
  2654 Negative distinction from share capital adjustement (-) 265  
265   Total Paid-in Capital 28  
         
    Capital Reserves 270  
  2700 Share premiums 270  
  2702 Profit from Invalidation of share 270  
  2704 Revaluation fund of tangible fixed assets 270  
  2706 Revaluation fund of affiliates 270 1
  2708 Cost increase fund 270  
  2710 Other capital reserves 270  
270   Total Capital Reserves 28  
         
    Profit Reserves 275  
  2750 Legal reserves 275 1
  2752 Statutory reserves 275  
  2754 Extraordinary reserves 275  
  2756 Special funds 275  
275   Total Profit Reserves 28  
         
    Previous years' profits / Loss    
  2800 Previous years' profits 280  
  2802 Previous years' losses 280  
280   Total Previous years' profits / Loss 28  
         
290   Profit/Loss for the period 28  
        1
28   Total Shareholders' Equity 2  
         
2   TOTAL LIABILITIES 00  
         
         
    PROFIT/LOSS STATEMENT    
         
    REVENUE    
  4000 Income from services 4  
  4100 Income from sales 4  
  4200 Other income 4  
4   TOTAL REVENUE 02  
         
    EXPENSES    
         
  5000 Basic salary 3  
  5002 Bonus 3  
  5004 Incentive to Staff 3  
  5006 House Rent Allowance 3  
  5008 Transport Allowance 3  
  5010 Stipend Account 3  
  5012 Stipend payable 3  
  5014 Recruitment Expenses 3  
  5016 Telephone expenses reimbursement 3  
  5018 Medical Expenses reimbursement 3  
  5020 Employer's contribution to ESI 3  
  5022 Employees' contribution to ESI payable 3  
  5024 ESI payable 3  
  5026 Employer's contribution to provident fund 3  
  5028 Employees' contribution to provident fund payable 3  
  5030 PF payable 3  
  5032 Provident fund admin charges 3  
  5034 EDLI Charges (PF) 3  
  5036 Staff Welfare (In office) 3  
  5038 Staff Welfare (Out of office) 3  
  5040 Staff Insurance 3  
  5042 Festival Expenses 3  
  5044 Rates & Taxes 3  
  5046 Conveyance Expenses (Others) 3  
  5048 Conveyance Expenses (To and fro residence) 3  
  5050 Travelling Expenses -Domestic 3  
  5052 Travelling Expenses -Foreign 3  
  5054 Free/Concessional tkts to staff 3  
  5056 Cellular Phone Expenses 3  
  5058 Telephone Expenses 3  
  5060 Telephone Expenses (Petty) 3  
  5062 Courier Expenses 3  
  6064 Postage, Courier & Telegram Expenses 3  
  5066 Communication Charges 3  
  5068 Printing & Stationery 3  
  5070 Vehicle insurance (Non commercial) 3  
  5072 Vehicle insurance (Commercial) 3  
  5074 Lease Rent 3  
  5076 Rent 3  
  5078 Guest House Rent 3  
  5080 Parking Rent 3  
  5082 Rent payable 3  
  8084 Guest House Rent payable 3  
  5086 Legal & Professional Charges 3  
  5088 Consultancy Charges 3  
  5090 Professional Tax (Employer's share) 3  
  5092 Professional Tax (Employees' share) payable 3  
  5094 Software Expenses 3  
  5096 Fees & Subscription 3  
  5098 Security Expenses 3  
  5100 Newpapers, Books & Periodicals Expenses 3  
  5102 Meeting & Conference Expenses 3  
  5104 Advertisement Expenses 3  
  5106 Vehicle Parking Expenses 3  
  5108 Vehicle Petrol Expenses- Non commercial 3  
  5110 Vehicle Petrol Expenses- Commercial 3  
  5112 Car Expenses 3  
  5114 Business Promotion Expenses 3  
  5116 Sales Promotion Expenses 3  
  5118 Office Expenses 3  
  5120 Electricity & Generator Expenses 3  
  5122 Guest House Charges 3  
  5124 Repair & Maintenance- Plant & Machinery 3  
  5126 Vehicle Maintenance (Non commercial) 3  
  5128 Vehicle Maintenance (Commerical) 3  
  5130 Repair & Maintenance- Building 3  
  5132 Repair & Maintenance 3  
  5134 Repair & Maintenance - Others 3  
  5136 Computer maintenance / Computer expenses / Repair and maint- Computers 3  
  5138 Bank Charges 3  
  5140 Loss on Sale of Fixed Assets 3  
  5142 Short & Excess expenses 3  
  5144 Donation 3  
  5146 Difference in Foreign Exchange 3  
  5148 Interest on bank loan 3  
  5150 Interest on Vehicle Loans (Non commercial) 3  
  5152 Interest on Vehicle Loans (Commercial) 3  
  5154 Interest on Other Loan 3  
  5156 Prior period expenses 3  
  5158 Prior period income 3  
  5160 Audit expenses 3  
  5162 Finance charges 3  
         
3   TOTAL EXPENSES 02  
         
02   Profit(-) Loss(+) from Profit & Loss Statement 00  
         
00   Difference should be = 0 (blank cell)    
         
         
Table: VAT codes
VAT Code Description %VAT
     
  VAT due  
S0 VAT exempt sales  
SE Foreign sales exempt  
S5 Sales at 5% 5.00
S10 Sales at 10% 10.00
SD5 Discount on sales at 5% 5.00
SD10 Discount on sales at 10% 10.00
     
  Recoverable VAT  
P5 Purchase goods at 5% 5.00
P10 Purchase goods at 10% 10.00
PD5 Discount on purchases at 5% 5.00
PD10 Discount on purchases at 10% 10.00
     
I5 Purchases for investment or use 5% 5.00
I10 Purchases for investment or use 10% 10.00
ID5 Discount on purchases for investment or use 5% 5.00
ID10 Discount on purchases for investment or use 10% 10.00
     
  TOTAL  
     

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