Octane Service Station
Octane Service Station
Octane Service Station
May-1st Particulars
Liabilities Amount Assets Amount Initial Cash
Sundry Creditors Cash $ 200.00 Cash withdrawn
Wages Payable Bank $ 7,005.00
Customer advance Accounts Receivable
Inventory $ 13,250.00
Prepaid expenses $ 2,320.00
Total Current Liabilities $ - Total Current Assets $ 22,775.00
Reco $ -
Balance sheet
30-Jun
Liabilities Amount Assets Amount
Sundry Creditors $ 2,304.00 Cash $ 5,808.00
Wages Payable $ 232.00 Bank $ 7,005.00
Customer advance $ 125.00 Accounts Receivable $ 199.00
Inventory $ 10,018.00 1804
Prepaid expenses $ 750.00 75
Total Current Liabilities $ 2,661.00 Total Current Assets $ 23,780.00 425
2304
Payable on Equipment $ 10,300.00 Equipment $ 14,525.00
Total Liabilities $ 12,961.00 Accumulated depreciation $ -456.67
Reco $ -
Cash Ledger Bank Ledger
Amount Particulars Amount Particulars Amount
20000 Guaranteed Deposit 20000 Deposit retuned back 2755
200 Additional bonds 7000
Dr Cr
3.98
199
Julio Trevino (Octane Service Station)
Trial Balance
June 30
Account Dr Cr
Cash 5,808.00 Refer Cash Ledger
Bank 7,005.00
Accounts Receivable 199.00 143+56
Merchandise Inventory 10,018.00 Given
Prepaid expenses- Insurance 750.00 Refer Note:1
Assets 14,525.00 Refer Note:2
Acc. Depreciation 456.67 Refer Note:3
Sundry Creditors 2,304.00 Refer Note:4
Payable on Equipment 10,300.00 Refer Note-6
Wages Payable 232.00 Given
Capital 20,171.00 Refer Capital Ledger
sales 69,589.00 Given
Other income 375.00 Calculated
Unearned revenue 125.00 Calculated
Outanding debtors balance(56+143) 199.00 Calculated
Rent Expense 3,513.00 Refer Note-5
Utility expenses 870.00 Calculated
Inventory consumed 49,730.00 Given -
Salaries 9,682.00 Calculated
Deposit Ledger
Particulars Amount Particulars Amount Note-2
Initial Deposit 20000 Inventory 13250 Assets
Rental fees 1420 Equipment
Down paymment on Eq 2575 Furniture
Given back 2755 Total
Capital Ledger
Particulars Amount Particulars Amount
Withdrawn 6750 Cash 20000
Self usage 79 Increase in capital 7000
Balance 20171
27000 27000
Bank Ledger
Particulars Amount Particulars Amount
Deposit retuned back 2755 Office furniture 1650
Additional bonds 7000 Fire & Casuality Ins 900
Cash withdrawn 200
Note-4
Sundry Creditors
900 Rent75 75
750 Vendors 1804
Utility 425
Total Payable 2304
Note-5
12875 Rent Expense
1650 Rent 2018 25325 1013 1250 2263
14525 Payable 75 245
Initial Rent 1420 170
456.6666667 3513
Note-6
Payable on Equipment 12875
Paid-Down payment 2575
Payable 10300