5.0assessment Ledger To FSPerpetual
5.0assessment Ledger To FSPerpetual
5.0assessment Ledger To FSPerpetual
GENERAL LEDGER
Cash In Bank
DATE ITEMS F DEBIT DATE
June 1 Investment of the owner. 500,000.00 June 1
4 Return of merchandise purchased 14,000.00 3
5 Sale of merchandise for cash. 240,000.00 6
18 Collection of sales on account with discount. 116,400.00 7
28 Collection of sales on account with discount. 39,200.00 8
9
10
11
12
15
17
30
30
30
TOTAL 909,600.00
Balance 107,450.00
Accounts Receivable
DATE ITEMS F DEBIT DATE
June 14 Sale of merchandise on account. 120,000.00 June 18
18 Sale of merchandise on account. 50,000.00 21
30 Sale of merchandise on account. 110,000.00 28
TOTAL 280,000.00
Balance 110,000.00
Merchandise Inventory
DATE ITEMS F DEBIT DATE
June 3 Purchase of merchandise for cash. 150,000.00 June 4
6 Cost of return on merchandise sold. 12,000.00 5
7 Purchase of merchandise. 100,000.00 14
10 Payment of freight on merchandise purchased. 3,000.00 17
21 Cost of return on merchandise sold. 4,000.00 18
22 Purchase of merchandise on account. 200,000.00 24
28 Purchase of merchandise on account. 150,000.00 30
30
TOTAL 619,000.00
Balance 263,000.00
Supplies Inventory
DATE ITEMS F DEBIT DATE
June 1 Investment of the owner. 50,000.00
Balance 50,000.00
Balance 400,000.00
Equipment
DATE ITEMS F DEBIT DATE
June 1 Purchase of Equipment. 500,000.00
Balance 500,000.00
Accounts Payable
DATE ITEMS F DEBIT DATE
TOTAL 280,000.00
Notes Payable
DATE ITEMS F DEBIT DATE
June 30 Installment payment of the note plus interest. 50,000.00 June 1
TOTAL 50,000.00
A. Cruz, Capital
DATE ITEMS F DEBIT DATE
June 1
TOTAL -
TOTAL 405,150.00
Sales
DATE ITEMS F DEBIT DATE
June 5
14
18
30
TOTAL 30,000.00
Feb 28
Balance 0.00
Sales Discount
DATE ITEMS F DEBIT DATE
June 18 Collection of sales on account with discount. 3,600.00
28 Collection of sales on account with discount. 800.00
TOTAL 4,400.00
Feb 28
Balance 0.00
TOTAL 294,000.00
Cost of Goods Sold 278,000.00
Feb 28
Balance 0.00
Freight Out
DATE ITEMS F DEBIT DATE
TOTAL 2,000.00
Feb 28
Balance 0.00
Rent Expense
DATE ITEMS F DEBIT DATE
June 9 Payment of rent. 7,150.00
TOTAL 7,150.00
Feb 28
Balance 0.00
Utilities Expense
DATE ITEMS F DEBIT DATE
June 11 Payment of utilities. 1,000.00
TOTAL 1,000.00
Feb 28
Balance 0.00
Advertising Expense
DATE ITEMS F DEBIT DATE
June 12 Payment of advertising. 3,000.00
TOTAL 3,000.00
Feb 28
Balance 0.00
Salaries Expense
DATE ITEMS F DEBIT DATE
June 15 Payment of salaries. 52,000.00
30 Payment of various expenses. 52,000.00
TOTAL 104,000.00
Feb 28
Balance 0.00
Interest Expense
DATE ITEMS F DEBIT DATE
June 30 Installment payment of the note plus interest. 3,000.00
TOTAL 3,000.00
Feb 28
Balance 0.00
TOTAL 4,000.00
Feb 28
Balance 0.00
Miscellaneous Expense
DATE ITEMS F DEBIT DATE
June 30 Payment of various expenses. 3,000.00
TOTAL 3,000.00
Feb 28
Balance 0.00
NVENTORY SYSTEM
DGER
ITEMS F CREDIT
Purchase of Equipment. 200,000.00
Purchase of merchandise for cash. 150,000.00
Return of merchandise sold. 20,000.00
Purchase of merchandise. 20,000.00
Payment of freight on merchandise sold. 2,000.00
Payment of rent. 7,150.00
Payment of freight on merchandise purchased. 3,000.00
Payment of utilities. 1,000.00
Payment of advertising. 3,000.00
Payment of salaries. 52,000.00
Payment of account with discount. 76,800.00
Payment of account with discount. 155,200.00
Installment payment of the note plus interest. 53,000.00
Payment of various expenses. 59,000.00
802,150.00
ble
ITEMS F CREDIT
Collection of sales on account with discount. 120,000.00
Return of merchandise sold. 10,000.00
Collection of sales on account with discount. 40,000.00
170,000.00
tory
ITEMS F CREDIT
Return of merchandise purchased 14,000.00
Cost of merchandise sold. 144,000.00
Cost of merchandise sold. 70,000.00
Payment of account with discount. 3,200.00
Cost of merchandise sold. 20,000.00
Return of merchandise purchased. 40,000.00
Cost of merchandise sold. 60,000.00
Payment of account with discount. 4,800.00
356,000.00
ry
ITEMS F CREDIT
res
ITEMS F CREDIT
ITEMS F CREDIT
e
ITEMS F CREDIT
TOTAL 430,000.00
Balance 150,000.00
ITEMS F CREDIT
Purchase of Equipment. 300,000.00
TOTAL 300,000.00
Balance 250,000.00
ITEMS F CREDIT
Investment of the owner. 500,000.00
Investment of the owner. 450,000.00
TOTAL 950,000.00
Balance 950,000.00
mmary
ITEMS F CREDIT
To close sales and its related accounts. 485,600.00
TOTAL 485,600.00
Profit 80,450.00
Balance 0.00
ITEMS F CREDIT
TOTAL 520,000.00
Balance 0.00
wances
ITEMS F CREDIT
ITEMS F CREDIT
To close sales discount 4,400.00
ld
ITEMS F CREDIT
Cost of return on merchandise sold. 12,000.00
Cost of return on merchandise sold. 4,000.00
TOTAL 16,000.00
ITEMS F CREDIT
e
ITEMS F CREDIT
nse
ITEMS F CREDIT
e
ITEMS F CREDIT
e
ITEMS F CREDIT
s
ITEMS F CREDIT
-
PROBLEM 2 - Perpetual Inventory System
ANDRIK TRADING CO.
Income Statement
For the Month Ended June 30, 2017
Sales 520,000.00
Less: Sales Returns & Allowances 30,000.00
Sales Discount 4,400.00 34,400.00
Net Sales 485,600.00
ASSETS
Current Assets:
Cash In Bank 107,450.00
Accounts Receivable 110,000.00
Merchandise Inventory 263,000.00
Supplies Inventory 50,000.00
Total Current Assets 530,450.00
Noncurrent Assets:
Furnitures & Fixtures 400,000.00
Equipment 500,000.00
Total Noncurrent Assets 900,000.00
Liabilities:
Accounts Payable ### 150,000.00
Notes Payable ### 250,000.00
Total Liabilities 400,000.00
Owner's Equity:
A. Cruz, Capital 1,030,450.00
Operating Activities:
Cash Sales of Merchandise 240,000.00
Collection from Customers 155,600.00
Refund from return of merchandise purchased 14,000.00
Purchase of merchandise for cash. -170,000.00
Refund to customer on merchandise returned -20,000.00
Payment of account to suppliers -232,000.00
Payment of freight on merchandise purchased. -3,000.00
Payment of freight on merchandise sold. -2,000.00
Payment of rent. -7,150.00
Payment of utilities. -1,000.00
Payment of advertising. -3,000.00
Payment of salaries. -104,000.00
Payment of interest -3,000.00
Payment of Taxes & Licenses -4,000.00
Payment of Miscellaneous -3,000.00
Net Cash Provided by (Used in) Operating Activities -142,550.00
Investing Activities:
Purchase of Equipment. -200,000.00
Net Cash Provided by (Used in) Investing Activities -200,000.00
Financing Activities:
Investment of the owner. 500,000.00
Payment of note -50,000.00
Net Cash Provided by (Used in) Financing Activities 450,000.00
1 Closing Entries:
2 Jan 31 Sales 520,000.00
3 Sales Returns & Allowances
4 Sales Discount
5 Income & Expense Summary
6 To close sales and its related accounts.
7
8 Income & Expense Summary 278,000.00
9 Cost of Goods Sold
10 To close cost of goods sold.
11
12 Income & Expense Summary 127,150.00
13 Freight Out
14 Rent Expense
15 Utilities Expense
16 Advertising Expense
17 Salaries Expense
18 Interest Expense
19 Taxes & Licenses
20 Miscellaneous Expense
21 To close expense accounts
22
23 Income & Expense Summary 80,450.00
24 Naruto, Capital
25 To close profit to Capital.
STEM
CREDIT
1
2
30,000.00 3
4,400.00 4
485,600.00 5
6
7
8
278,000.00 9
10
11
12
2,000.00 13
7,150.00 14
1,000.00 15
3,000.00 16
104,000.00 17
3,000.00 18
4,000.00 19
3,000.00 20
21
22
23
80,450.00 24
25