Accounting NEB Grade 11 Model Question 2079-2023

Accounting | NEB Grade 11 Model Question 2079-2023

Dear grade 11 students out there! Namaste. Today, we present you the Accounting NEB Grade 11 Model Question 2079-2023 with subject code: 1031 and you can check and view the neb grade xi (11) Accounting subject model question paper solution of the year 2079-2023 in PDF format. Please check and download pdf file grade 11 Accounting Model question paper of the year 2023-2079 Nepal. The model question provided below – Accounting NEB Grade 11 Model Question 2079-2023 for the board exam 2079 and onwards. And it is based on the latest NEB Syllabus for 2079. We will be adding more model question papers solutions of grade xi-11 later on. Also Download Accounting NEB Grade 11 Model Question 2079-2023 in pdf format which is 267 kb in size. Enjoy!

Accounting NEB Grade 11 Model Question 2079-2023.

Grade XI/Class 11
Model Question (New Course)
Regular Students | Subject Code: 1031
Time – 3 hrs
Full Marks – 75

Candidates are required to give their answers in their own words as far as practicable. The figures in the margin indicate full marks.

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Accounting NEB Grade 11 Model Question Solution 2079-2023

Section ‘A’

Very Short Answer Questions.

Attempt All Questions. (11×1 = 11)

1. What is book-keeping?

2. Mention any two objective of accounting.

Also Check:

Download pdf of NEB Class 12 Model Question Papers 2079-2023, All Subjects.

3. Write the meaning of money measurement concept.

4. Define trial balance.

5. What is cross cheque?

6. Write about error of principle.

7. What is reserve?

8. Write any one difference between capital expenditure and revenue expenditure.

9. What is dhapot?

10. Define bank cash book.

11. State the use of budget sheet.

Section “B”

Short Answer Questions

Attempt All Questions) (8 x 5 = 40)

12. State accounting process in brief. [3]

B. Prepare accounting equation from following details. [2]

a) Started business with cash Rs. 2, 00,000 and furniture Rs. 5, 00,000.

b) Purchase goods worth Rs. 80,000 on cash and 70,000 on credit.

c) Paid rent Rs. 90,000.

d) Sold goods costing Rs 20,000 on cash Rs. 25,000.


A. Cash and banking transactions are given below:

Poush 1: Opening balance of cash and bank are Rs. 60,000 and 2, 00,000 respectively.

Poush 13: Cash deposited in bank of Rs. 30,000.

Poush 22: Paid of Rs. 32,000 to Ram through cheque for settling account of Rs. 35,000.

Poush 27: Received a cheque from Aviral of Rs. 19,000 and cash Rs. 3,000 for selling machine.


Triple column cash book (3)

B. Transactions related to furniture purchases are given below:

Dec 5: Purchase from Karuna suppliers

10 coffee tables for Rs. 1,00,000.
20 small chairs @ Rs. 4,000 each.
Trade discount @ 10%

Dec 19: Purchased from Anjali traders:

5 beds @ 15,000 each.
8 pieces of sofa @ Rs. 25,000 per sofa.


Purchase book (20)

14. Following information are given:

a) Cash book showed a balance of Rs. 80,000.

b) Bank credited Rs. 20,000 only out of various cheques of Rs. 75,000 deposited in the bank.

c) Cheques issued of Rs. 90,000 but a cheque of Rs. 10,000 was not presented for payment till the date.

d) A customers deposited a cheque of Rs. 44,000 directly in the bank but has not been recorded in the cash book.

e) Bank debited Rs. 500 as bank charge in the pass book.

f) Cheque of Rs. 12,000 received and entered into the cash book but failed to deposit in the bank.


Bank Reconciliation Statement [5]


A. Rectify following errors before preparing of trial balance. [3]

a) Cash sales to Sharma Rs. 45,000 debited to his account

b) Sales of machinery @ Rs. 19,000 were wrongly credited in sales account.

c) Purchase goods from Pema Rs. 20,000 recorded in sales book.

B. Following information are extracted from the trial balance

ParticularsDebit (Rs.)Credit (Rs.)
Sundry debtors52,000
Provision for bad debt7,000
Bad debt1,000

(Additional information)

a) Bad debt Rs. 2,000

b) provision for bad debt @ 5%


Provision for bad debt account [2]


An unadjusted trial balance of ‘A’ trading concern is given below:

ParticularsDebit (Rs.)ParticularsCredit (Rs.)
Land and building400,000Capital425,000
Bank balance145,000Sales515,000
Office expenses40,000
Prepaid insurance15,000

Additional information:

a) Office expenses prepaid Rs 3,000

b) Land appreciated by 10%

c) Salary outstanding Rs. 1500

d) Bad debts written off Rs. 2500

e) Prepaid insurance expire Rs. 10,000


Adjusted Trial balance (5)

16. On 1st January, 2018 ABC Company purchased a motor van at Rs. 6, 00,000. On 1st July, 2019, company purchased another van worth Rs. 8, 00,000. On 1st July 2020, the first motor van was sold bearing the loss of Rs. 50,000 and on the same date company purchased another van for Rs. 10,00,000. Depreciation was charged @10% p.a. under fixed installment method. The accounts of the company were closed on 31st December each year.


Motor Van account for the first three years. (1+2+2=5)

17. Trial balance of Nabin Trader on Chaitra 30, 2071 is given below.

Selling expenses5,000Gross profit b/d87,000
Debtors25,000Bank loan19,000
Bad debt2,000Provision for bad debt2,000

Additional information:

a) Depreciation on machinery 10% p.a

b) Salary payable Rs. 4,000

c) New bad debt Rs. 1,000


a) Profit & Loss account

b) Balance sheet (3+2)

18. Red Cross provides following information:

Balance Sheet as on 1-1- 2018

Capital fund4,00,000Fixed assets3,00,000
Closing cash balance60,000

Receipts and payments of Red Cross are given below as on 31st -12-2018


Subscriptions Rs. 50,000

Entrance fees Rs. 30,000

interest on investment Rs. 5,000

Sale of old Furniture Rs. 5,000


Tournament expenses Rs.10,000

wages Rs. 20,000

Printing Rs. 7,500

General expenses Rs. 12,000

Newspaper Rs. 1,800

Other information and outstanding are given below:

a) Printing outstanding Rs. 500 and wages outstanding Rs. 3,000

b) 40% of the entrance fee is to be capitalized

c) Fixed assets depreciate by 10%

d) Subscription due for the year Rs. 22,000


a. Receipts and payment a/c

b. Income and Expenditure a/c (2+3)


A. Shweta keeps her account under the single entry system. She started a business with Rs. 2,00,000 on 1st Jan, 2017. She withdraws Rs. 2,000 per month for household work. The position of her business at the end of the year was as follows;

Fixed assets Rs. 1,90,000

Inventory Rs. 85,000

Due expenses Rs. 10,000

Creditors Rs. 50,000

Debtors Rs. 40,000

Bank balance Rs. 60,000


a) Closing statement of affairs

b) Statement of profit and loss (1+1=2)

B. Following transactions of District level office are given:

a) Chaitra 1, House rent @ Rs. 8000 per month for three month paid to house owner Sailesh

b) Chaitra 15, Furniture advance of Rs. 5000 was cleared as per bill of Rs. 6000 and bank voucher of Rs. 1000 submitted by Na. Su. Ramchandra

c) staff renmeration of kartik Rs. 30000 (with out provident fund) was distributed after deducting P.F. Rs. 6000, social security Rs. 300 and income tax Rs. 1500.


Journal Vouchers (1+1+1=3)

Following information are given:

Budget sub-headsAnnual budgetExpenses up to Falgun
Employee remuneration800,000400,000
Employee remuneration800,000400,000
Office materials120,00060,000
House rent140,00080,000
Furniture and fitting80,00035,000

Expenditure for the month of Chaitra:

Chaitra 1: Purchase furniture Rs. 10,000

Chaitra 5: Purchase vehicles for Rs.100,000

Chaitra 10: Advance rent paid for Rs 10,000

Chaitra 28 Distributed Rs. 35,000 for employee’s remuneration after deducting income tax Rs. 1,000 and P.F. Rs 8,000.


Budget Sheet (5)

Section “C”

Short Answer Questions

Attempt All Questions (3 x 8 = 24)

20. Information of Samriyan Enterprises is given below

a. Started a business with Rs. 200,000

b. Purchase goods of Rs. 15,000 from Ram

c. Goods sold on cash Rs 18,000

d. Cash paid to Ram Rs. 10,000

e. Again goods purchase from Ram of Rs. 20,000

f. Paid to Ram Rs. 24,000 in full settlement of his account.


a. Journal Entries b. Necessary Ledger c. Trial Balance. (3+4+1)

21. The trail balance of Deepak Store as on 31st December, 2020 is given below:

Plant and machinery360,000Gain on sale of furniture10,000
Salary expenses71,000Creditor96,000
Cost of goods sold755,000Sales1053,000
Debtors34,500Accumulated depreciation on plant and machinery45,000
Stock at end110,000Bank loan56,000
Investment120,000Interest on investment10,000
Good will48,500
Gas and oil expenses8,000
Repair expenses34,000
prepaid insurance24,000

Additional information:

a. Salaries are 80% of selling and 20% administrative expenditure.

b. Insurance expires of Rs. 18,000

c. Depreciation on plant and machinery is 15%

d. Gas and oil expenses are selling expenses.


a. Income statement based on NFRS

b. Balance sheet based on NFRS (4+4=8)


What is government accounting? Explain the features of new government accounting system. (3+5=8)


A. Following transactions are given to prepare a bank cash book. (4)

Marga 1: Balance at Bank Rs. 75,000

Marga 3: Received bank transfer order Rs. 3, 25,000 as a budget release

Marga 9: Issued a cheque of Rs. 20,000 for purchasing furniture.

Marga 22: Cleared advance of Subodh Regmi against the submission of bill of book purchase amount of Rs. 10,000 and cash Rs. 3,000.

Marga 22, Distributed total salary of Rs. 88,000 after deduction of Provident fund Rs. 16,000 and income tax of Rs. 4,000.

B. Following information is given:

Budget HeadsAnnual BudgetExpenditure upto BhadraExpenditure of Aswin
Office expenses60,00015,0003,000
House rent75,00025,00012,000
Furnitures and fittings35,000—–

Additional information:

a) Revolving fund received Rs. 2, 95,000

b) Cash Balance Rs. 2,000

c) Unclear advance Rs. 15,000

d) Loan by nearby office Rs. 3,000


Statement of expenditure (4)

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