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                    Chart Of Account Segmentswhat are the determining factor to determine how many segments are needed to create a chart of account for a business group? Suppose A chart of account contains 5 segments for an organization. So how to determine that we need 5 segments or 6 segments or any number of segments for a chart of account? 
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                    P&L Account & Trial Balance.What is the difference between P&L account and Trial Balance? 
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                    Clarification of Entry.We have purchsed 100 share by cheque and we have sold 200 share from our stock. Tell how can we give entry to accounts ? 
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                    Rent Bill Journal EntryIn the month of Dec-2016, received the rent bill for the following months of Jan-16 to Mar-16. but the payment will happen in the month of Mar-16. What is the Journal has to post in the month of Dec-16. 
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                    Journal & payment for entries service tax creditIf we availing service tax credit , what is the journal entry we have to pass when we receives the bill & what is the payment entry we have to pass if we make a payment 
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                    VAT PayableWhere do we show VAT payable in profit and loss account? 
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                    Balance Sheet ReconciliationWhy we have to prepare Balance Sheet Reconciliation? 
 
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                    Project Accounting Journal EntriesDescribe the flow and actual journal entries involved in project accounting from start to end 
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                    Inter-Company JournalsIf we enable inter-company in Oracle there is a chance to upload incorrect journals like imbalance journals at company level. So how we can rectify this problem. (if the user unfortunately upload journal between two companies it will accept) can you please explain about this. 
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                    We have recurring journals in gl and recurring invoices in ap why we have both?In gl we are using recurring journals for reporting purpose,and in ap also we are having recurring invoices. why we use both? 
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                    What is the reconcilation in GL?GL reconciliation means Account payable , Accounts receivable ledger balance compared with General Ledger balance and it should be tallied. If not tallied we have to do the reconciliation. 
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                    Service Tax Entry in SAPIf a manpower supplier is a proprietor & service receiver is LTD company. Due to RCM amendment service provider 25 % service tax & service receiver is paying remaining 75% Service Tax. So what will be general ledger entry in above cases in SAP. & what will be general entry at a time of cenvat credit ? 
 
 Plz lets know
General Ledger Interview Questions

 
  
  
  
		
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