Assignment 12 WP Lengkap
Assignment 12 WP Lengkap
Assignment 12 WP Lengkap
Tax Tax
Liability Expense
^ Footed
@ Sesuai dengan kertas kerja audit tahun s
Telah ditelusuri ke jurnal pengeluaran kas
Apple Blossom Colognge Company K-1
Laba Ditahan ###
12/31/2003 JWP
Per
Item WP Reff. Audit
12-31-02
Assets
101 Cash-Big City National Bank A-1 513,617
102 Cash-Second National Bank A-3 5,918
103 Petty Cash A-7 420
105 Account Receivable B-1 139,504
106 Allowance for Bad Debts B-6 (11,889)
107 Miscellaneous Receivables E-6
109 Inventory C-1 873,766
110 Prepaid Insurance D-1 35,336
111 Prepaid Rent D-3 5,000
112 Office Supplies Inventory D-3 8,657
113 Small Tools Inventory D-3 7,162
115 Investment in Securities E-1 474,518
116 Allow. For Unreal. Gain/Loss E-1 6,473
201 Long-term Investments E-6
210 Land F-1 82,250
220 Buildings F-1 276,263
221 Accum. Depre. - Buildings F-1 (65,416)
230 Machinery and Equipment F-1 540,845
231 Accum. Depre. - M&E F-1 (160,866)
240 Automotive Equipment F-1 99,425
241 Accum. Depre. -Auto. Equip. F-1 (52,798)
250 Office Furnitures & Fixtures F-1 106,433
251 Accum. Depre. -Off. Furn. & Fixt. F-1 (37,581)
Total Assets 2,847,037
Liabilities
301 Account Payable G-1 223,161
302 Accrued Payroll Taxes H-1 113,846
303 Wages and Salaries Payable H-2 81,239
304 Accrued Property Taxes H-3 14,113
305 Accrued Interest I-1 10,625
306 Dividends Payable H-3 17,575
307 Federal Income Tax Payable H-4 63,772
308 Note Payable - Short Term I-1 125,000
350 Lease Obligation - Short Term F-6
401 Note Payable - Long Term I-1
450 Lease Obligation - Long Term F-6
Total Liabilities 649,331
Owners' Equity
501 Common Stock J-1 925,000
505 Other Contributed Capital J-1 736,550
506 Unreal. Gain/Loss Investments E-1 6,473
601 Retained Earnings K-1 272,435
605 Dividends K-1, H-3 (17,575)
610 Current Net Income TB-IS 274,823
Total Owners' Equity 2,197,706
Total Liabilities and Owners' Equity 2,847,037
Apple Blossom Cologne Company
Working Trial Balance - Balance Sheet
12-31-03
Reclassification Financial
Items Statement
Cr 12-31-03
873,805
203,538
3,750
752,487
56,391
182,950
72,393
82,250
276,263
1,087,095
99,425
114,833
(387,156)
3,418,024
223,800
129,245
95,291
21,988
19,947
23,125
4,108
-
4,473
475,000
70,327
1,067,304
925,000
736,550
(5,510)
529,683
(23,125)
188,122
2,350,720
3,418,024
Apple Blossom Cologne Company
Working Trial Balance - Income Statement
12-31-03
2 4,271,543 4,271,543
3 (34,799) (34,799)
4,236,744 4,236,744
7, 17 1,758,983 1,758,983
2,477,761 2,477,761
18 1,741,835 1,741,835
18 143,124 143,124
13, 14 1,980 12 82,375 82,375
3,750 3,750
6 12,517 12,517
6,419 6,419
44,934 44,934
32,765 32,765
6 6,250 13 8,057 8,057
21,988 21,988
17 15,860 15,860
37,140 37,140
17 1,055 1,055
13,580 4 9,210 9,210
46,310 46,310
2,207,339 2,207,339
270,422 270,422
15 (25,260) (25,260)
25,975 25,975
3,970 11 11,363 11,363
(15,270) (15,270)
5 - -
(3,192) (3,192)
267,230 267,230
20,892 19 79,108 79,108
188,122 188,122
Apple Blossom Cologne Company
Proposed Adjusting Journal Entries
12-31-03
ADJ Account
Account Description Reference
Number Number
Account
Account Description Number
AJE#13
Machinery and equipment 230
Repairs and maintenance expense 828
Depreciation expense 822
Accumulated depreciation - Machin & Equip. 231
Kapitalisasi item yang tidak tepat dibebankan sebagai repairs and maintenance per (F-5)
AJE#14
Machinary and equipment 230
Depreciation expense 822
Lease obligation - long term 450
Accumulated depreciation _ Machin & Equip. 231
Kapitalisasi kewajiban sewa dan aset yang terkait (F-6)
AJE#15
Interest expense 901
Accrued interest payable 305
Mengakui di depan bunga atas obligasi (F-6)
AJE#16
Lease obligation - long term 450
Lease obligation - short term 350
Reklasifikasi bagian dari sewa jangka pendek (F-6)
AJE#17
Utilities expense 830
Inventory 109
Cost of goods sold 801
Miscellaneous expense 832
Accounts payable 301
Mengakui di depan kewajiban yang belum dicatat (D-2)
AJE#19
Federal income taxes payable 307
Federal income tax expense 940
Menyesuaikan pajak penghasilan (K-4)
Account
Account Description Number
None required
AJE
3/2/2004
JWP
1 of 3
Dr Cr
750
750
1,080
1,080
1,748
1,748
13,580
13,580
10,000
10,000
137
67
204
1,000
1,000
11,983
11,983
72,173
72,173
37,600
37,600
220
3,750
3,970
1,980
1,980
AJE
Feb 3, 2004
JWP
2 of 3
DEBIT CREDIT
6250
6250
156
156
74800
3740
74800
3740
4114
4114
4475
4475
1100
33840
15480
230
50650
AJE
Feb 3, 2004
JWP
3 of 3
DEBIT CREDIT
123192
15091
138283 42992
95291
20862
20862
RJE
Feb 3, 2004
JWP
DEBIT CREDIT
6. Laporan Keuangan dan Catatan Pendukung
APPLE BLOSSOM COLOGNE COMPANY
Balance Sheet(Neraca) (Dalam $)
31 December 2002 dan 31 Desember 2003
ASSETS 2003 2002
Current Assets:
Cash $ 873,805 $ 519,955
Account receivable less allowance for losses
$5.589 (2003) ; $11.889 (2002) 203,538 127,615
Miscellaneous receivables (Catatan 1 dan 2) 3,750
Inventories (Catatan 1) 752,487 873,766
Prepaid expenses 56,391 56,155
Investment in securities (Catatan 1 dan 2) 182,950 480,991
Total Current Assets: $ 2,072,921 $ 2,058,482
Long-term investment (Catatan 1 dan 2) 72,393
Property, plant, & equipment, at cost (Catatan 1):
Land 82,250 82,250
Buildings 276,263 276,263
Machinery and equipment 1,087,095 540,845
Automotive equipment 99,425 99,425
Office furniture and fixturres 114,833 106,433
1,659,866 1,105,216
Less accumulated depreciation (387,156) (316,661)
$ 1,272,710 $ 788,555
TOTAL ASSETS $ 3,418,024 $ 2,847,037
OM COLOGNE COMPANY
heet(Neraca) (Dalam $)
002 dan 31 Desember 2003
LIABILITIES AND STOCKHOLDER'S EQUITY 2003 2002
Current Liabilities:
Account payable $ 223,800 $ 223,161
Accrued liabilities 266,471 219,823
Notes Payable (Catatan 3) 125,000
Dividends payable 23,125 17,575
Income taxes payable (Catatan 4) 4,108 63,772
Current portion of lease obligation (Catatan 5) 4,473
Total Current Liabilities: $ 521,977 $ 649,331
Long-term debt due after one year (Catatan 3) 475,000
Long-term lease obligation (Catatan 5) 70,327
Total Liabilities $ 1,067,304 $ 649,331
Stockholder's Equity:
Common stock, par value $100, authorized 20.000
shares, issued and outstanding 9.250 shares 925,000 925,000
Contributed capital in excess of par value 736,550 736,550
Unrealized gain (loss) on investment (5,510) 6,473
Retained earnings 694,680 529,683
Total Stockholder's Equity $ 2,350,720 $ 2,197,706
TOTAL LIABILITIES AND STOCKHOLDER'S EQUITY $ 3,418,024 $ 2,847,037
APPLE BLOSSOM COLOGNE COMPANY
Statement of Income (Laporan Laba Rugi) (Dalam $)
Years Ended December 31, 2003 and December 31, 2002
2003 2002
Net sales and other revenues $ 4,236,744 $ 3,876,757
Cost of goods sold 1,758,983 1,596,800
Gross margin 2,477,761 2,279,957
Operating expenses:
Selling, general, and administrative
(catatan 5) 2,124,964 1,817,457
Depreciation (catatan 1) 82,375 64,422
2,207,339 1,881,879
Operating Income 270,422 398,078
Other income (expense) and adjustment:
Interest (25,260) (27,500)
Other income 11,363 9,379
Gain on sale of fixed assets (15,270) 18,638
Gain on sale of investments 25,975
Net income before federal income taxes 267,230 398,595
Provision for income taxes (catatan 1 dan 4) (79,108) (123,772)
NET INCOME $ 188,122 $ 274,823
Earnings per common share (catatan 7) $ 20.34 $ 29.72
APPLE BLOSSOM COLOGNE COMPANY
Statement of Change in Stockholder's Equity (Laporan Perubahan Ekuitas) (Dalam $)
Years Ended December 31, 2003 and December 31, 2002
2003 2002
Common stock:
Common stock at beginning year $ 925,000 $ 925,000
Common stock at end of year $ 925,000 $ 925,000
Contributed capital:
Contributed capital at beginning of year $ 736,550 $ 736,550
Contributed capital at end of year $ 736,550 $ 736,550
Retained Earnings:
Retained earnings at beginning of year $ 529,683 $ 272,435
Net income for the year 188,122 274,823
Dividends (23,125) (17,575)
Retained earnings at the end of year $ 694,680 $ 529,683
APPLE BLOSSOM COLOGNE COMPANY
Statement of Cash Flows (Laporan Arus Kas) (Dalam $)
Years Ended December 31, 2003 and December 31, 2002
2003 2002
Cash flow from operating activities:
Net income $ 188,122 $ 274,823
Add (Deduct) items not using (providing) cash:
Depreciation 82,375 64,422
Change in account receivable (69,623) 4,509
Change in allowance for bad debts (6,300) (1,880)
Change in misscellaneous receivables (3,750)
Change in inventory 121,279 (285,627)
Change in prepaid expense (236) 4,049
Securities purchased on account (37,600)
Change in account payable 639 82,512
Change in accrued liabilities 46,648 28,210
Change in income taxes payable (59,664) 49,542
Gain or loss sale of assets 15,270 (18,638)
Gain or loss sale of investment (25,975)
Amortization of bond discount (220)
Net cash provided operating activities $ 250,965 $ 201,922
Cash flows from investing activities:
Cash provided
Sale of assets $ 12,450 $ 39,638
Sale of securities 372,243
Cash disbursement
Purchase of assets 519,450 54,016
Purchase of securities 94,783 147,320
Net cash provided (used) investing activities (229,540) (161,698)
Cash flows from financing activities:
Cash provided
Issuance of notes payable 475,000 245,000
Cash disbursement
Dividends paid 17,575 13,875
Payment on notes 125,000 120,000
Net cash provided (used) financing activities $ 332,425 $ 111,125
Net increase (decrease) in cash 353,850 151,349
Cash at beginning of year $ 519,955 $ 368,606
Cash at end of year $ 873,805 $ 519,955
2003 2002
Supplement Disclosures of Cash Flow Information
Interest paid $ 15,938 $ 16,875
Interest taxes paid 138,772 74,230
Supplement Schedule of Noncash Transactions
Equipment purchased on capital lease (catatan 5) $ 74,800
Securities purchased on account 37,600