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ACCOUNT ACC NO TOTAL Dec 2013 ACCOUNT NUMBER OF PETTY CASH = PT. BERKAH PETTY CASH DECEMBER, 2013 ( In Rupiah ) TOTAL AMOUNT = DEBIT DATE INVOICE NO DESCRIPTION

PT. BERKAH PETTY CASH DECEMBER, 2013 ( In Rupiah ) · account acc no total dec 2013 account number of petty cash = pt. berkah petty cash december, 2013 ( in rupiah ) total amount

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ACCOUNT ACC NO TOTAL

Dec

2013

ACCOUNT NUMBER OF PETTY CASH =

PT. BERKAH

PETTY CASH

DECEMBER, 2013

( In Rupiah )

TOTAL AMOUNT =

DEBITDATE

INVOICE

NODESCRIPTION

ACCOUNTS COST OF SALES OF PPN MERCHANDISE FREIGHT

RECEIVABLE GOODS SOLD MERCHANDISE OUTCOME INVENTORY COLLECTED

Dec

2013

ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL

DEBIT

DEBIT CREDIT

KREDIT

INVOICE NO DESCRIPTION

PT. BERKAH

SALES JOURNAL

TOTAL ……………

ACCOUNT NUMBER…………….

RECAPITULATION

DATE

DECEMBER, 2013

( In Rupiah )

CREDIT

Dec

2013

ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL

KREDIT

TOTAL…………….

ACCOUNT NUMBER ……………

RECAPITULATION

DEBIT

DATE INVOICE NO

DEBIT

MERCHANDISE

INVENTORY PPN INCOME

ACCOUNTS

PAYABLE

PT. BERKAH

PURCHASE JOURNAL

DECEMBER, 2013

( In Rupiah )

DESCRIPTION

Pos

Ref

Dec

2013

- -

ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL

PT. BERKAH

GENERAL JOURNAL

DECEMBER 2013

( In Rupiah )

DEBIT KREDIT

INVOICE

NO DESCRIPTION

TOTAL …………………….

DEBITDATE CREDIT

RECAPITULATION

Dec

2013

x x

ACC NO AMOUNT ACC NO AMOUNT

TOTAL TOTAL

RECAPITULATIONDEBIT CREDIT

ACCOUNT NUMBER………………….

DATECASH IN BANK

/ OTHER ACCOUNTS

ACC NOACCOUNT NAMEOther (Rp)

COST OF

GOODS SOLD

DESCRIPTION

TOTAL …………………

MERCHANDISE

INVENTORY

INVOICE

NO Other (Rp)ACCOUNT

RECEIVABLE

PT. BERKAH

CASH RECEIPT JOURNAL

DECEMBER, 2013

( In Rupiah )

DEBIT CREDIT

( In Rupiah )

Dec

2013

x x

x x x x

ACC NO TOTAL ACC NO

TOTAL TOTAL

AMOUNT ACC NO

ACCOUNT NUMBER………………….

TOTAL …………………

DEBIT

TOTAL

CREDIT

RECAPITULATION

PT. BERKAH

CASH PAYMENT JOURNAL

DECEMBER, 2013

INVOICE NO. DESCRIPTION /

ACCOUNT NAMEACCOUNTS

PAYABLE ACC NO

DATEOTHER ACCOUNT

CASH IN BANK

DEBIT CREDIT

OTHER ACCOUNT

AMOUNT

ITEM NAME : ACCU-CHEK METODE : AVERAGE

ITEM NO. : AU-N06 ( In Rupiah )

UNIT PRICE TOTAL UNIT PRICE TOTAL UNIT PRICE TOTAL

Dec 1 Opening balance 80 40.000.000,00

2013

ITEM NAME : OXONE METODE : AVERAGE

ITEM NO. : AU-N08 ( In Rupiah )

UNIT PRICE TOTAL UNIT PRICE TOTAL UNIT PRICE TOTAL

Dec 1 Opening balance 70 42.000.000,00

2013

DESCRIPTIONBuying

DATEINVOICE

NODESCRIPTION

Buying Selling BALANCE

PT. BERKAH

INVENTORY CARD

DECEMBER, 2013

Selling BALANCEDATE

INVOICE

NO

Nama : TOKO ALEX Kode : C001

Debit Credit

Dec 1 Opening balance -

2013

Nama : TOKO BARU Kode : C002

Debit Credit

Dec 1 Opening balance -

2013

Nama : TOKO CONTOH Kode : C003

Debit Credit

Dec 1 Opening balance - -

2013

Nama : TOKO DITA Kode : C004

Debit Credit

Dec 1 Opening balance -

2013

PT. BERKAH

SUBSIDIARY LEDGER - ACCOUNTS RECEIVABLE

(In Rupiah)

CreditBalance

Date Description

DECEMBER, 2013

DebitRef

Description Ref

Debit

CreditBalance

Date Debit

DateBalance

Description Ref Credit

BalanceDate Description Ref Debit Credit

Nama : PT NUSA PERSADA Kode : S001

Debit Credit

Dec 1 Opening balance -

2013

Nama : CIPTA PESONA Kode : S002

Debit Credit

Dec 1 Opening balance -

2013

Nama : PT MEKAR NUSA DUA Kode : S003

Debit Credit

Dec 1 Opening balance -

2013

Description Ref Debit

SUBSIDIARY LEDGER - ACCOUNTS PAYABLE

PT. BERKAH

Date

DECEMBER, 2013

CreditBalance

Credit

(In Rupiah)

Date Description Ref Debit CreditBalance

Balance

Date Description Ref Debit

(In rupiah)

PT. BERKAH

LIST OF ACCOUNT RECEIVABLE BALANCE

DECEMBER 31, 2013

(In rupiah)

NO SUPPLIER BALANCE

NO CUSTOMER BALANCE

Total ………………

PT. BERKAH

LIST OF ACCOUNT PAYABLE BALANCE

DECEMBER 31, 2013

(In rupiah)

Total ………………

CODE PRODUCT PRICE

Total ………………

UNIT BALANCE

DECEMBER 31, 2013

LIST OF INVENTORY BALANCE

PT. BERKAH

Nama : Cash in Bank Nomor : 1-1110

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Petty Cash Nomor : 1-1120

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Accounts Receivable Nomor : 1-1210

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Allowance for Doubtful Debt Nomor : 1-1220

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Merchandise Inventory Nomor : 1-1310

DEBIT KREDIT

Rp Rp Rp Rp

BALANCE

KREDIT

DATE DESCRIPTIONPOS

REF

DEBIT

DEBIT KREDIT

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

BALANCE

DATE DESCRIPTION

KREDIT

DESCRIPTIONPOS

REFDATE

BALANCEPOS

REF

DEBIT

PT. BERKAH

LEDGER

DECEMBER 31, 2013

KREDITBALANCE

DEBITDATE DESCRIPTION

POS

REF

(In Rupiah)

Nama : Supplies Nomor : 1-1320

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Prepaid Rent Nomor : 1-1410

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Prepaid Insurance Nomor : 1-1420

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Stock Invesment Nomor : 1-2100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Land Nomor : 1-3100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Building a cost Nomor : 1-3210

DEBIT KREDIT

Rp Rp Rp Rp

KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

POS

REF

DEBIT KREDITDATE DESCRIPTION

DATE DESCRIPTIONPOS

REF

DEBIT

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

BALANCE

Nama : Building Accumulated Depr Nomor : 1-3220

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Vehicle at cost Nomor : 1-3310

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Vehicle Accum Dep Nomor : 1-3320

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Equipment Nomor : 1-3410

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Equipment Accum Dep Nomor : 1-3420

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Credit Card Nomor : 2-1110

DEBIT KREDIT

Rp Rp Rp Rp

POS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

KREDITBALANCE

BALANCE

DATE DESCRIPTION

DATE DESCRIPTION

DATE DESCRIPTION

DEBIT

DATE DESCRIPTIONPOS

REF

DEBIT

POS

REF

DEBIT

POS

REF

KREDITBALANCE

KREDITBALANCE

Nama : Accounts Payable Nomor : 2-1210

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Accruad Expense Nomor : 1-1211

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Income Tax Payable Nomor : 1-1212

DEBIT KREDIT

Rp Rp Rp Rp

Nama : PPN Payable Nomor : 1-1213

DEBIT KREDIT

Rp Rp Rp Rp

Nama : PPN Outcome Nomor : 2-1310

DEBIT KREDIT

Rp Rp Rp Rp

Nama : PPN Income Nomor : 1-1320

DEBIT KREDIT

Rp Rp Rp Rp

BALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

DATE

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

POS

REF

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTION

Nama : Bank Mandiri Loan Nomor : 2-2100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Common Stock Nomor : 3-1100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Retained Earning Nomor : 3-1200

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Income Summary Nomor : 3-1300

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Sales of merchandise Nomor : 4-1100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Freight Collected Nomor : 4-2100

DEBIT KREDIT

Rp Rp Rp Rp

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT

Nama : Late Fee Colected Nomor : 4-2200

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Sales Discount Nomor : 4-2300

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Cost of goods Sold Nomor : 5-1100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Freight Paid Nomor : 5-2000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Purchase Discount Nomor : 5-3000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Advertising Expenses Nomor : 6-1000

DEBIT KREDIT

Rp Rp Rp Rp

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

POS

REF

DEBIT KREDITBALANCE

DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

BALANCE

DATE DESCRIPTION

DATE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

DATE

DESCRIPTIONPOS

REF

DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE

DEBIT KREDITBALANCE

Nama : In store promotion expenses Nomor : 6-1200

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Utility expense Nomor : 6-1210

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Telepon expense Nomor : 6-1220

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Rent expense Nomor : 6-2300

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Supplies expense Nomor : 6-2400

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Maintenance and repair expense Nomor : 6-2500

DEBIT KREDIT

Rp Rp Rp Rp

BALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

BALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

BALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDIT

Nama : Bad debt expense Nomor : 6-2600

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Depreciation expenses Nomor : 6-2700

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Insurance expense Nomor : 6-2800

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Late fee expense Nomor : 6-2900

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Wages & Salaries Nomor : 6-3100

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Interest Income Nomor : 8-1000

DEBIT KREDIT

Rp Rp Rp Rp

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

Nama : Deviden income Nomor : 8-2000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Interest Expense Nomor : 9-1000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Bank Service Charge Nomor : 9-2000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Gain/loss sales vehicle Nomor : 9-3000

DEBIT KREDIT

Rp Rp Rp Rp

Nama : Income Tax Expense Nomor : 9-4000

DEBIT KREDIT

Rp Rp Rp Rp

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

DATE DESCRIPTIONPOS

REF

DEBIT KREDITBALANCE

No ACC NO. ACCOUNT NAME DEBIT (Rp) CREDIT (Rp)

1 1-1110 Cash in Bank

2 1-1120 Petty Cash

3 1-1210 Accounts Receivable

4 1-1220 Allowance for Doubtful Debt

5 1-1310 Merchandise Inventory

6 1-1320 Supplies

7 1-1410 Prepaid Rent

8 1-1420 Prepaid Insurance

9 1-2100 Stock Investment

10 1-3100 Land

11 1-3210 Building at Cost

12 1-3220 Building Accum Depr

13 1-3310 Vehicle at Cost

14 1-3320 Vehicle Accum Depr

15 1-3410 Equipment at Cost

16 1-3420 Equipment Accum Depr

17 2-1110 Credit Card

18 2-1210 Accounts Payable

19 2-1211 Accrued Expense

20 2-1212 Income Tax Payable

21 2-1213 PPN Payable

22 2-1310 PPN Outcome

23 2-1320 PPN Income

24 2-2100 Bank Mandiri Loan

25 3-1100 Common Stock

26 3-1200 Retained Earning

27 3-1300 Income Summary

28 4-1100 Sales of Merchandise

29 4-2100 Freight Collected

30 4-2200 Late Fee Collected

31 4-2300 Sales Dicount

32 5-1100 Cost of Goods Sold

33 5-2000 Freight Paid

34 5-3000 Purchase Discount

35 6-1000 Advertising Expense

36 6-1200 In Store Promotion Expense

37 6-1210 Utility Expense

38 6-1220 Telepon Expense

39 6-2300 Rent Expense

40 6-2400 Supplies Expense

41 6-2500 Maintenance and Repair Expense

42 6-2600 Bad Debt Expense

43 6-2700 Depreciation Expense

44 6-2800 Insurance Expense

45 6-2900 Late Fee Expense

46 6-3100 Wages and Salaries

47 8-1000 Interest Income

48 8-2000 Dividen Income

49 9-1000 Interest Expense

50 9-2000 Bank Service Charge

51 9-3000 Gain/Loss on Asset

52 9-4000 Income Tax Expense

TOTAL

PT. BERKAH

TRIAL BALANCEPER 31 DECEMBER 2013

SOURCE ACC DEBIT CREDIT

NUMBER REF Rp Rp

Dec

'13

PT. BERKAH

ADJUSTMENT ENTRIES

DECEMBER 31, 2013

DATE DESCRIPTION

(In Rupiah)

DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT

1-1110 Cash in Bank 145.257.500 -

1-1120 Petty Cash 3.000.000 -

1-1210 Accounts Receivable 111.575.000 -

1-1220 Allowance for Doubtful Debt - 3.600.000

1-1310 Merchandise Inventory 56.500.000 -

1-1320 Supplies 7.300.000 -

1-1410 Prepaid Rent 1.500.000 -

1-1420 Prepaid Insurance 4.000.000 -

1-2100 Stock Investment 335.000.000 -

1-3100 Land 275.000.000 -

1-3210 Building at Cost 160.000.000 -

1-3220 Building Accum Depr - 15.250.000

1-3310 Vehicle at Cost - -

1-3320 Vehicle Accum Depr - -

1-3410 Equipment at Cost 65.000.000 -

1-3420 Equipment Accum Depr - 21.500.000

2-1110 Credit Card - -

2-1210 Accounts Payable - 39.380.000

2-1211 Accrued Expense - -

2-1212 Income Tax Payable - 187.500

2-1213 PPN Payable - -

2-1310 PPN Outcome - 83.190.000

2-1320 PPN Income 59.680.000 -

2-2100 Bank Mandiri Loan - 85.000.000

3-1100 Common Stock - 790.000.000

3-1200 Retained Earning - 53.000.000

3-1300 Income Summary - -

4-1100 Sales of Merchandise - 649.400.000

4-2100 Freight Collected - 8.000.000

4-2200 Late Fee Collected - -

4-2300 Sales Dicount 8.665.000 -

5-1100 Cost of Goods Sold 384.740.000 -

5-2000 Freight Paid 1.220.000 -

5-3000 Purchase Discount - 1.970.000

PT. BERKAH

WORKSHEET

DECEMBER 31, 2013

BALANCE SHEETACC NO ACCOUNT NAME

TRIAL BALANCE ADJUSTMENT ENTRIES ADJUSTED BALANCE PROFIT & LOSS

(In Rupiah)

DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT

PT. BERKAH

WORKSHEET

DECEMBER 31, 2013

BALANCE SHEETACC NO ACCOUNT NAME

TRIAL BALANCE ADJUSTMENT ENTRIES ADJUSTED BALANCE PROFIT & LOSS

6-1000 Advertising Expense 14.800.000 -

6-1200 In Store Promotion Expense 8.000.000 -

6-1210 Utility Expense 7.200.000 -

6-1220 Telepon Expense 5.400.000 -

6-2300 Rent Expense 12.500.000 -

6-2400 Supplies Expense 7.600.000 -

6-2500 Maintenance and Repair Expense 10.750.000 -

6-2600 Bad Debt Expense 2.000.000 -

6-2700 Depreciation Expense 13.750.000 -

6-2800 Insurance Expense 6.500.000 -

6-2900 Late Fee Expense 220.000 -

6-3100 Wages and Salaries 30.250.000 -

8-1000 Interest Income - 3.500.000

8-2000 Dividen Income - 8.500.000

9-1000 Interest Expense 5.570.000 -

9-2000 Bank Service Charge 7.500.000 -

9-3000 Gain/Loss on Asset 12.000.000 -

9-4000 Income Tax Expense - -

TOTAL 1.762.477.500 1.762.477.500

PROFIT/LOSS

REVENUE

Sales of merchandise

Freight collected

Lates fee collected

Sales discount

Net Sales

COST OF GOODS SOLD

Cost of Goods Sold

Freight Paid

Purchases discount

Cost of Goods Sold (-)

Gross Profit

EXPENSES

Advertising Expense

In Store Promotion Expense

Utility Expense

Telepon Expense

Rent Expense

Supplies Expense

Maintenance and Repair Expense

Bad Debt Expense

Depreciation Expense

Insurance Expense

Late Fee Expense

Wages and Salaries (+)

Total Expense (-)

Operating Net Profit

OTHER REVENUE & GAINS

Interest Income

Dividen Income

Total Other Revenue (+)

OTHER EXPENSES & LOSSES

Interest Expense

Bank Service Charge

Gain/Loss on Asset

Total Other Expenses (-)

EARNING BEFORE TAX

Income Tax Expense (-)

EARNING AFTER TAX

PT. BERKAHPROFIT AND LOSS

DECEMBER 31, 2013

KETERANGAN Rp Rp

BALANCE

Rp

Retained Earning, December 1

Penambahan :

Income summary (Earning after tax)

Pengurangan :

Dividend

Retained Earning, December 31

DESCRIPTION

PT. BERKAH

CHANGES IN RETAINED EARNINGS

DECEMBER 31, 2013

ASSETS LIABILITY AND EQUITY

BALANCE BALANCE

Rp Rp Rp Rp

CURRENT ASSETS CURRENT LIABILITY

Cash in Bank Credit Card

Petty Cash Accounts Payable

Accounts Receivable Accrued Payable

Allowance for Doubtful Debt Income Tax Payable

Merchandise Inventory PPN Payable

Supplies PPN Outcome

Prepaid Rent PPN Income

Total Current Assets Total Current Liabilities

INVESTMENT LONG TERM LIABILITY

Stock Investment Bank Mandiri Loan

Total Investments Total Long Term Liabilities

FIXED ASSETS

Land

Building a cost

Building Accumulated Depr

Vehicle at cost EQUITY

Vehicle Accum Dep Common Stock

Equipment Retained Earning

Equipment Accum Dep Total Equity

Total Fixed Assets

TOTAL ASSETS TOTAL LIABILITIES & EQUITY

DESCRIPTION DESCRIPTION

PT. BERKAH

BALANCE SHEET

DECEMBER 31, 2013

JUMLAH

Aktivitas Operasi

Kas dan setara kas bersih dari aktivitas operasi A

Aktivitas Investasi

Kas dan setara kas bersih dari aktivitas investasi B

Aktivitas Pendanaan

Kas dan setara kas bersih dari aktivitas pendanaan C

Kas dan setara kas yang dihasilkan (A+B+C)

Kas dan setara kas, 1 Desember 2013

Kas dan setara kas, 31 Desember 2013

PT. BERKAHSTATEMENTS OF CASH FLOW

per 31 Desember 2013

(In Rupiah)

KETERANGAN

POS DEBIT CREDIT

REF Rp Rp

Dec

2013

DATE DESCRIPTION

PT. BERKAH

CLOSING ENTRIES

DECEMBER 31, 2013

No ACC NO. ACCOUNT NAME DEBIT (Rp) CREDIT (Rp)

1 1-1110 Cash in Bank

2 1-1120 Petty Cash

3 1-1210 Accounts Receivable

4 1-1220 Allowance for Doubtful Debt

5 1-1310 Merchandise Inventory

6 1-1320 Supplies

7 1-1410 Prepaid Rent

8 1-1420 Prepaid Insurance

9 1-2100 Stock Investment

10 1-3100 Land

11 1-3210 Building at Cost

12 1-3220 Building Accum Depr

13 1-3310 Vehicle at Cost

14 1-3320 Vehicle Accum Depr

15 1-3410 Equipment at Cost

16 1-3420 Equipment Accum Depr

17 2-1110 Credit Card

18 2-1210 Accounts Payable

19 2-1211 Accrued Payable

20 2-1212 Income Tax Payable

21 2-1213 PPN Payable

22 2-1310 PPN Outcome

23 2-1320 PPN Income

24 2-2100 Bank Mandiri Loan

25 3-1100 Common Stock

26 3-1200 Retained Earning

TOTAL

PT. BERKAH

TRIAL BALANCE AFTER CLOSING

PER 31 DECEMBER 2013