Accounting Activities
Accounting Activities
Note
Assets
Current Assets
Cash ₱ 200,000.00
Trade and Other Receivables 1 ₱ 213,000.00
Merchandise Inventory ₱ 60,000.00
Prepaid Expenses 2 ₱ 46,000.00
Total Current Assets ₱ 519,000.00
Non-Current Assets
Property, Plant and Equipment 3 ₱ 1,521,000.00
Total Assets ₱ 2,040,000.00
Liabilities
Current Liabilities
Trade and Other Payables 4 ₱ 145,000.00
Non-Current Liabilities
Mortgage Payable ₱ 500,000.00
Total Liabilities ₱ 645,000.00
Owner's Equity
Sunrise, Capital ₱ 1,395,000.00
Total Liabilities and Capital ₱ 2,040,000.00
Note 1 - Trade and Other Receivables
Accounts Receivable
Less: Allowance for Bad Debts
Notes Receivable
Accrued Income
Total
Prepaid Insurance
Prepaid Rent
Supplies
Total
Land
Building
Less: Accumulated Depreciation - Building
Furniture and Fixtures
Less: Accumulated Depreciation - Furniture and Fixtures
Total
Accounts Payable
Notes Payable
Accrued Expenses
Loan Payable
Total
₱ 180,000.00
₱ 10,000.00 ₱ 170,000.00
₱ 25,000.00
₱ 18,000.00
₱ 213,000.00
₱ 25,000.00
₱ 18,000.00
₱ 3,000.00
₱ 46,000.00
₱ 500,000.00
₱ 1,000,000.00
₱ 24,000.00 ₱ 976,000.00
₱ 50,000.00
₱ 5,000.00 ₱ 45,000.00
₱ 1,521,000.00
₱ 40,000.00
₱ 20,000.00
₱ 5,000.00
₱ 80,000.00
₱ 145,000.00
FipEly Office Supplies
Income Statement
For year ended December 31, 2017
Note 1 - Net Sales
Gross Sales
Note Less:
Cost of Sales
Salaries Expense
Supplies Expense
Utilities Expense
Insurance Expense
Depreciation Expense - Equip
Rent Expense
Miscellaneous Expense
Total
Note
Net Sales 1 Php 3,987,500.00
Cost of Sales 2 Php 814,500.00
Gross Profit Php 3,173,000.00
Operating Expenses
Distribution Expenses 3 Php 499,000.00
Administrative Expenses 4 Php 93,500.00
Other Expenses 5 Php 8,500.00
Finance Cost 6 Php 3,200.00 Php 604,200.00
Net Income Php 2,568,800.00
NOTES TO FINANCIAL STATEMENTS
Note 1 - Net Sales
Gross Sales
Less: Sales Returns and Allowances
Sales Discounts
Net Sales
Interest Expense
TEMENTS
Php 4,100,000.00
Php 52,500.00
Php 60,000.00 Php 112,500.00
Php 3,987,500.00
Php 90,000.00
Php 862,000.00
Php 85,500.00
Php 776,500.00
Php 8,000.00 Php 784,500.00
Php 874,500.00
Php 60,000.00
Php 814,500.00
Php 200,000.00
Php 250,000.00
Php 37,000.00
Php 12,000.00
Php 499,000.00
Php 32,250.00
Php 6,000.00
Php 4,000.00
Php 22,000.00
Php 6,500.00
Php 22,750.00
Php 93,500.00
Php 5,000.00
Php 3,500.00
Php 8,500.00
Php 3,200.00
Wei Long Trading
Income Statement
For year ended December 31, 2017
Dividends Income
Rent Income
Total
Note 4 - Distribution E
Advertising Expense
Sales Salaries Expense
Add:
Utilities Expense - Stor
Store Supplies
Total
Note 5 - Administrativ
Discount Loss
Total
Note 7 - Finance Cost
Interest Expense
Total
Note 1 - Net Sales
Note
Net Sales 1 Php 1,199,000.00
Cost of Sales 2 Php 305,500.00
Gross Profit Php 893,500.00
Other Income 3 Php 205,600.00
Total Income Php 1,099,100.00
Operating Expenses
Distribution Expenses 4 Php 315,100.00
Administrative Expenses 5 Php 156,200.00
Other Expenses 6 Php 15,500.00
Finance Cost 7 Php 17,000.00 Php 503,800.00
Net Income Php 595,300.00
NOTES TO FINANCIAL STATEMENTS
Note 1 - Net Sales
Gross Sales
Less: Sales Returns and Allowances
Sales Discounts
Net Sales
Dividends Income
Rent Income
Gain on sale of furniture
Total
Discount Lost
Loss on sale of equipment
Total
Interest Expense
TATEMENTS
Php 1,234,000.00
Php 20,000.00
Php 15,000.00 Php 35,000.00
Php 1,199,000.00
Php 160,000.00
Php 320,000.00
Php 22,000.00
Php 298,000.00
Php 12,500.00 Php 310,500.00
Php 470,500.00
Php 165,000.00
Php 305,500.00
Php 110,600.00
Php 75,000.00
Php 20,000.00
Php 205,600.00
Php 75,600.00
Php 5,300.00
Php 124,500.00
Php 93,700.00
Php 16,000.00
Php 315,100.00
Php 75,500.00
Php 57,800.00
Php 5,000.00
Php 17,900.00
Php 156,200.00
Php 3,000.00
Php 12,500.00
Php 15,500.00
Php 17,000.00
102,500 Capital, beg
25,000 Additional Inv 91,500
35,000 Net Income 35,000
92,500 56,500
78,000 Drawing
14,500 Capital, end
Kalou's Trading
Statement of Changes in Owner's Equity
For year ended December 31, 2021
MCCC Trading
Statement of Changes in Owner's Equity
For year ended December 31, 2021
INVESTING
Cash purchase of land (Payments)
Proceeds from sale of equipment (Receipts)
NOT
Depreciation Expense Net Cash from Investing
Provision for bad debts Cash Flows from Financin
Commision Income receivable
Taxes and licenses payable
Decrease in Cash
Cash balance - January 1,
Cash balance - December
Yu Eym
Statement of Cash Flows
For year ended December 31, 2020
Decrease in Cash
Cash balance - January 1, 2020
Cash balance - December 31, 2020
Php 568,000.00
Php 43,000.00
Php 600,000.00
Php 513,000.00
Php 698,000.00
Php 780,000.00
Php 2,100,000.00
Php (1,320,000.00)
Php 345,000.00
Php 240,000.00
Php 200,000.00
Php 385,000.00
Php (237,000.00)
Php 300,000.00
Php 63,000.00