Download as xls, pdf, or txt
Download as xls, pdf, or txt
You are on page 1of 43

UD.

BUANA
TRIAL BALANCE, PER 1 DESEMBER 2022

KODE NAMA AKUN DEBET KREDIT


1-1100 Cash in Bank Rp 42,770,000
1-1200 Petty Cash Rp 9,800,000
1-1300 Accounts Receivable Rp 85,800,000
1-1400 Allowance for Doubtful Debt Rp 11,800,000
1-1500 Merchandise Inventory Rp 520,000,000
1-1600 Store Supplies Rp 9,800,000
1-1700 Prepaid Insurance Rp 15,300,000
1-1800 Prepaid Rent Rp 21,300,000
1-1900 Prepaid Tax Rp 15,000,000
1-2100 Equipment at Cost Rp 63,300,000
1-2110 Equipment Accum Dep Rp 16,500,000
2-1100 Accounts Payable Rp 69,300,000
2-1200 Expense Payable Rp 3,900,000
2-1300 Income Tax Payable
2-1400 PPN Payable Rp 1,500,000
2-1500 PPN Outcome
2-1600 PPN Income
2-2100 Bank Permata Loan Rp 301,000,000
3-1100 Raka Capital Rp 366,500,000
3-1200 Raka, Drawing Rp 25,400,000
4-1100 Sales Rp 503,300,000
4-1200 Sales Return
5-1100 Cost of goods Sold Rp 314,100,000
5-1200 Freight Paid Rp 8,800,000
6-1000 Advertising Expenses Rp 4,200,000
6-1100 Telephone & Electricity expenses Rp 8,700,000
6-1200 Store Supplies Expenses Rp 4,750,000
6-1300 Bad Debt Expense Rp 15,100,000
6-1400 Depreciation Expense Rp 16,500,000
6-1500 Insurance Expense Rp 14,300,000
6-1600 Rent Expense Rp 23,300,000
6-1700 Wages & Salaries Rp 36,300,000
6-1800 Other Operating Expense Rp 9,300,000
8-1100 Interest Revenue Rp 6,100,000
9-1100 Interest Expense Rp 9,480,000
9-1200 Bank Service Charge Rp 6,600,000
9-1300 Income Tax Expense
Rp 1,279,900,000 Rp 1,279,900,000
UD BUANA
PURCHASE JOURNAL
DECEMBER, 2018
( In Rupiah ) Page 01
DEBIT CREDIT
INVOICE
DATE DESCRIPTION REF MERCHANDISE ACCOUNT
NO VAT-IN FREIGHT IN
INVENTORY PAYABLE

2018 10 F05 PT. Margonda 301,000,000 30,100,000 331,100,000


DEC

TOTAL…………….
ACCOUNT NUMBER ……………

RECAPITULATION
DEBIT CREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
SALES JOURNAL
DECEMBER, 2018
( In Rupiah ) Page 01
DEBIT CREDIT
DATE INVOICE NO DESCRIPTION REF ACCOUNT SALES OF
VAT-OUT FREIGHT OUT
RECEIVABLE MERCHANDISE

2016 6 F12-1 Digilat Elex 286,000,000 260,000,000 26,000,000


DEC

TOTAL ……………
ACCOUNT NUMBER……………. 1-1300 4-1100 2-1500

RECAPITULATION
DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
GENERAL JOURNAL
DECEMBER 2018
( In Rupiah ) Page 01
Pos
Date Invoice Description Debit Credit
Ref
2018 6 F12-1 Cost of Good Sold 5-1100 231,500,000
DEC Merchandise Inventory 1-1500 231,500,000
7 NKK12-1 Sales retur 4-1200 50000000
PPN Outcome 2-1500 5000000
Account Receivable 1-1300 55000000
Marchandise Inventory 1-1500 44,500,000
Cost of GOOD Sold 5-1100 44,500,000
11 ND-1 account payable
Marchandise iventory
PPN Income

TOTAL …………………….

RECAPITULATION
DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
CASH RECEIPT JOURNAL
DECEMBER, 2022
( In Rupiah ) Page 01
DEBIT CREDIT

EVIDENCE RE OTHERS OTHERS


DATE DESCRIPTION ACCOUNT
NO F CASH IN BANK
ACCOUNT ACC. NO TOTAL RECEIVABLE ACCOUNT ACC. NO TOTAL

2018 3 BKM12-1 JB ELEX 34,100,000 34,100,000


DEC

TOTAL …………………
ACCOUNT NUMBER………………….

RECAPITULATION
DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
CASH PAYMENT JOURNAL
DECEMBER, 2018
( In Rupiah ) Page 01
DEBIT CREDIT
EVIDENCE OTHERS OTHERS
DATE DESCRIPTION REF ACCOUNT
NO. ACC CASH IN BANK ACC
PAYABLE ACCOUNT TOTAL ACCOUNT TOTAL
NO. NO.
2018 1 BKK12-1 Pembayaran gaji bulan nov. 2022 Expense Payable 2-1200 2,500,000 2,500,000
DEC 6 BKK12-2 PT. Margonda 28600000 28,600,000
9 BKK12-3 PT. Sahabat Jaya 23,100,000 23,100,000

TOTAL …………………

ACCOUNT NUMBER………………….

RECAPITULATION
DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
PETTY CASH
DECEMBER, 2018
( In Rupiah )
EVIDENCE DEBIT CREDIT
DATE DESCRIPTION
NO ACCOUNT ACC NO. TOTAL PETTY CASH
2018 2 V12-1 Pembuatan brosur Advertising expense 6-1000 675,000 675,000
DEC 4 V12-2 Beban listrik & Telpon nov.2022 Expense Payable 2-1200 975,000 975,000
9 V12-3 Pembelian perlengkapan toko Store Supplies 1-1600 900,000 900,000

TOTAL …………………………….
ACCOUNT NUMBER

RECAPITULATION
DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL

TOTAL TOTAL
UD BUANA
INVENTORY CARD
DECEMBER, 2022
NAME : HP Pavilion 14
KODE : HPP-14
( In Rupiah ) METODE : FIFO

EVIDEN IN OUT BALANCE


DATE DESCRIPTION
CE NO UNIT PRICE TOTAL UNIT PRICE TOTAL UNIT PRICE TOTAL

2018 1 Saldo 20 16,000,000 320,000,000


DEC 6 F12-2 Penjualan 9 16000000 144000000 11 16,000,000 176,000,000
7 NK12-1 Retur penjualan 2 16,000,000 32000000 13 16,000,000 208,000,000
9 F05 Pembelian 11 16,000,000 176000000 24 16,000,000 384,000,000
PT SOLOK INDAH
INVENTORY CARD
DECEMBER, 2016
NAME : DELL Inspiron 15
KODE : DI-15
( In Rupiah ) METODE : FIFO
EVIDEN IN OUT BALANCE
DATE DESCRIPTION
CE NO UNIT PRICE TOTAL UNIT PRICE TOTAL UNIT PRICE TOTAL
2018 1 Saldo 16 12,500,000 200,000,000

DEC 6 F12-2 Penjualan 7 12500000 87500000 9 12,500,000 112,500,000

7 NK12-1 Retur penjualan 1 12,500,000 12,500,000 8 12,500,000 100,000,000

9 F05 Pembelian 10 12,500,000 125,000,000 18 12,500,000 225,000,000


231,500,000

7
UD BUANA
SUBSIDIARY LEDGER-ACCOUNT RECEIVABLE
DECEMBER, 2018
(In Rupiah)

Nama : JB ELEX Kode : C001

Balance
Date Description Ref Debit Credit
Debit Credit

2016

DEC

Nama : DIGITAL ELEX Kode : C002

Balance
Date Description Ref Debit Credit
Debit Credit

2016

DEC

Nama : MAJU ELEX Kode : C003

Balance
Date Description Ref Debit Credit
Debit Credit

2016

DEC
UD BUANA
SUBSIDIARY LEDGER-ACCOUNT PAYABLE
DECEMBER, 2018
(In Rupiah)

Nama : PT SAHABAT JAYA Kode : S001

Balance
Date Description Ref Debit Credit
Debit Credit
2016

DEC

Nama : Fa. MAKMUR Kode : S002

Balance
Date Description Ref Debit Credit
Debit Credit
2016

DEC
UD BUANA
LIST OF ACCOUNT RECEIVABLE BALANCE
DECEMBER 31, 2018
(In rupiah)

NO CUSTOMER BALANCE

1
2
3
4
Total ………………

UD BUANA
LIST OF ACCOUNT PAYABLE BALANCE
DECEMBER 31, 2018
(In rupiah)

NO SUPPLIER BALANCE

1
2

Total ………………

UD BUANA
LIST OF INVENTORY BALANCE
DECEMBER 31, 2018
(In rupiah)

KODE PRODUCT BALANCE

1
2
Total ………………
UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Cash In Bank No.: 1-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT

Des 1 Balance Rp 42,770,000


31 Jurnal Penerimaan Kas CRJ Rp 496,700,000 Rp 539,470,000
31 Jurnal Pengeluaran Kas CPJ Rp 350,300,000 Rp 189,170,000

NAMA : Petty Cash No.: 1-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 9,800,000
31 Jurnal Kas Kecil PC Rp 3,125,000 Rp 6,675,000

NAMA : Accounts Receivable No.: 1-1300


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 85,800,000
31 Jurnal Penjualan SJ Rp 903,650,000 Rp 989,450,000
31 Jurnal Penerimaan Kas CRJ Rp 313,500,000 Rp 675,950,000
31 Jurnal Umum GJ Rp 55,000,000 Rp 620,950,000

NAMA : Allowance for Doubtful Debt No.: 1-1400


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 11,800,000
31 Jurnal Penerimaan Kas CRJ Rp 7,200,000 Rp 19,000,000
UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Merchandise Inventory No.: 1-1500


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 520,000,000
31 Jurnal Pembelian PJ Rp 1,017,600,000 Rp 1,537,600,000
31 Jurnal Umum GJ Rp 44,500,000 Rp 1,582,100,000
31 Jurnal Umum GJ Rp 964,500,000 Rp 617,600,000

NAMA : Store Supplies No.: 1-1600


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 9,800,000
31 Jurnal Kas Kecil PC Rp 900,000 Rp 8,900,000

NAMA : Prepaid Insurance No.: 1-1700


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 15,300,000

NAMA : Prepaid Rent No.: 1-1800


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 21,300,000
UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Prepaid Tax No.: 1'1900


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 15,000,000

NAMA : Equitment at Cost No.: 1-2100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 63,300,000

NAMA : Equitment Accum Dep No.: 1-1210


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 16,500,000
31 Receipt Journal
31 Payment Journal
31 Sales Journal
31 Purchases Journal
31 General Journal
31 AJP
31 Closing Journal

NAMA : Accounts Payable No.: 2-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 69,300,000
31 Jurnal Pembelian PJ Rp 1,119,360,000 Rp 1,188,660,000
31 Jurnal Pengeluaran Kas CPJ Rp 355,300,000 Rp 833,360,000
31 Jurnal Umum GJ Rp 45,100,000 Rp 788,260,000
UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Expense Payable No.: 2-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 3,900,000
31 Jurnal Kas Kecil PC Rp 975,000 Rp 2,925,000

NAMA : Income Tax Payable No.: 2-1300


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp -
31 Jurnal pengeluaran kas CPJ Rp 2,500,000 Rp 2,500,000

NAMA : PPN Payable No.: 2-1400


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 1,500,000

NAMA : PPN Outcome No.: 2-1500


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp -
31 Jurnal Penualan SJ Rp 85,600,000 Rp 85,600,000
31 Jurnal Pengeluaran Kas CPJ Rp 1,500,000 Rp 84,100,000
31 Jurnal Umum GJ Rp 5,000,000 Rp 79,100,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018
NAMA : PPN Income No.: 2-1600
SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance -
31 Jurnal Pembelian PJ Rp 101,760,000 Rp 101,760,000
31 Jurnal Penerimaan Kas CRJ Rp 20,600,000 Rp 81,160,000
31 Jurnal Umum GJ Rp 4,100,000 Rp 77,060,000

NAMA : Bank Permata Loan No.: 2-2100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 301,000,000
31 Jurnal Pengeluaran Kas CPJ Rp 16,000,000 Rp 285,000,000

NAMA : Raka Capital No.: 3-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 366,500,000

NAMA : Raka Drawing No.: 3-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 25,400,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Sales No.: 4-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 503,300,000
31 Jurnal Penjualan SJ Rp 856,000,000 Rp 1,359,300,000
31 Jurnal Penerimaan Kas CRJ Rp 206,000,000 Rp 1,565,300,000
NAMA : Sales Return No.: 4-1200
SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance
31 Jurnal Umum GJ Rp 50,000,000 Rp 50,000,000

NAMA : Cost of Goods Sold No.: 5-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 314,100,000
31 Jurnal Umum GJ Rp 44,500,000 Rp 269,600,000

NAMA : Freight Paid No.: 5-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 8,800,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Advertising Expenses No.: 6-1000


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 4,200,000
31 Jurnal Kas kecil PC Rp 750,000 Rp 4,950,000
NAMA : Telephone& Electricity Expenses No.: 6-1100
SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 8,700,000

NAMA : Store Supplies Expenses No.: 6-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 4,750,000

NAMA : Bad Debt Expense No.: 6-1300


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 15,100,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Depreciation Expense No.: 6-1400


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 16,500,000

NAMA : Insurance Expense No.: 6-1500


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 14,300,000
NAMA : Rent Expense No.: 6-1600
SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 23,300,000

NAMA : Wages & Salaries No.: 6-1700


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 36,300,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Other Operating Expense No.: 6-1800


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 9,300,000
31 Jurnal kas kecil PC Rp 500,000 Rp 9,800,000

NAMA : Interest Revenue No.: 8-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance Rp 6,100,000

NAMA : Interest Expense No.: 9-1100


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 9,480,000
31 Jurnal Pengeluaran kas CPJ Rp 3,000,000 Rp 12,480,000

NAMA : Bank Service Charge No.: 9-1200


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance 6,600,000

UD BUANA
BUKU BESAR UMUM
Bulan DESEMBER 2018

NAMA : Income Tax Expense No.: 9-1300


SALDO
TANGGAL KETERANGAN REF DEBIT KREDIT
DEBIT KREDIT
Des 1 Balance
RECAPITULATION PURCHASE JOURNAL
DEBIT CREDIT
ACC. NO TOTAL ACC. NO TOTAL
v 1-1500 - 2-1100 - v
v 2-1600 -

TOTAL - TOTAL -

RECAPITULATION SALES JOURNAL


DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL
v - - - - v
- - v

TOTAL - TOTAL -

RECAPITULATION GENERAL JOURNAL


DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL
v - - - - v
v - - - - v
v - - - - v
v - - - -
- -

TOTAL - TOTAL -

RECAPITULATION CASH RECEIP


DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL
v - - - - v
- - v
- - v
- - v

TOTAL - TOTAL -

RECAPITULATION CASH PAYMEN


DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL
v - - - - v
v - -
v - -
v - - -
v - -
-
-

-
TOTAL - TOTAL -

RECAPITULATION PETTY CASH


DEBIT KREDIT
ACC. NO TOTAL ACC. NO TOTAL
v 0 - - - v
v 0 -
v 0 -
v 0 -
v 0 -

TOTAL - TOTAL -
UD. BUANA
TRIAL BALANCE, PER 31 DESEMBER 2018

KODE NAMA AKUN DEBET KREDIT


1-1100 Cash in Bank Rp 189,170,000
1-1200 Petty Cash Rp 6,675,000
1-1300 Accounts Receivable Rp 620,950,000
1-1400 Allowance for Doubtful Debt Rp 19,000,000
1-1500 Merchandise Inventory Rp 617,600,000
1-1600 Store Supplies Rp 8,900,000
1-1700 Prepaid Insurance Rp 15,300,000
1-1800 Prepaid Rent Rp 21,300,000
1-1900 Prepaid Tax Rp 15,000,000
1-2100 Equipment at Cost Rp 63,300,000
1-2110 Equipment Accum Dep Rp 16,500,000
2-1100 Accounts Payable Rp 788,260,000
2-1200 Expense Payable Rp 2,925,000
2-1300 Income Tax Payable Rp 2,500,000
2-1400 PPN Payable Rp 1,500,000
2-1500 PPN Outcome Rp 79,100,000
2-1600 PPN Income Rp 77,060,000
2-2100 Bank Permata Loan Rp 285,000,000
3-1100 Raka Capital Rp 366,500,000
3-1200 Raka, Drawing Rp 25,400,000
4-1100 Sales Rp 1,565,300,000
4-1200 Sales Return Rp 50,000,000
5-1100 Cost of goods Sold Rp 269,600,000
5-1200 Freight Paid Rp 8,800,000
6-1000 Advertising Expenses Rp 4,950,000
6-1100 Telephone & Electricity expenses Rp 8,700,000
6-1200 Store Supplies Expenses Rp 4,750,000
6-1300 Bad Debt Expense Rp 15,100,000
6-1400 Depreciation Expense Rp 16,500,000
6-1500 Insurance Expense Rp 14,300,000
6-1600 Rent Expense Rp 23,300,000
6-1700 Wages & Salaries Expense Rp 36,300,000
6-1800 Other Operating Expense Rp 9,800,000
8-1100 Interest Revenue Rp 6,100,000
9-1100 Interest Expense Rp 12,480,000
9-1200 Bank Service Charge Rp 6,600,000
9-1300 Income Tax Expense
TOTAL Rp 2,144,335,000 Rp 3,130,185,000
UD. BUANA
JURNAL PENYESUAIAN
BULAN DESEMBER 2018

TGL NAMA AKUN REF


2018
Des
N

DEBET CREDIT
UD. BUANA
NERACA LAJU
Desember 201

NERACA SALDO AJP


KODE NAMA AKUN DEBET KREDIT DEBET
1-1100 Cash in Bank
1-1200 Petty Cash
1-1300 Accounts Receivable
1-1400 Allowance for Doubtful Debt
1-1500 Merchandise Inventory
1-1600 Store Supplies
1-1700 Prepaid Insurance
1-1800 Prepaid Rent
1-1900 Prepaid Tax
1-2100 Equipment at Cost
1-2110 Equipment Accum Dep
2-1100 Accounts Payable
2-1200 Expense Payable
2-1300 Income Tax Payable
2-1400 PPN Payable
2-1500 PPN Outcome
2-1600 PPN Income
2-2100 Bank Permata Loan
3-1100 Raka Capital
3-1200 Raka, Drawing
4-1100 Sales
4-1200 Sales Return
5-1100 Cost of goods Sold
5-1200 Freight Paid
6-1000 Advertising Expenses
6-1100 Telephone & Electricity
expenses
6-1200 Store Supplies Expenses
6-1300 Bad Debt Expense
6-1400 Depreciation Expense
6-1500 Insurance Expense
6-1600 Rent Expense
6-1700 Wages & Salaries Expense
6-1800 Other Operating Expense
8-1100 Interest Revenue
9-1100 Interest Expense
9-1200 Bank Service Charge
9-1300 Income Tax Expense
UD. BUANA
NERACA LAJUR
Desember 2018

AJP NSD RUGI LABA NERACA


KREDIT DEBET KREDIT DEBET KREDIT DEBET
-
NERACA
KREDIT

- -
-
UD BUANA
LAPORAN LABA RUGI
Untuk periode yang berakhir 31 Desember 2018
UD BUANA
LAPORAN PERUBAHAN POSISI KEUANGAN
PER 31 DESEMBER 2018
UD BUANA
LAPORAN PERUBAHAN EKUITAS
PER 31 DESEMBER 2018
UD BUANA
CASH FLOW REPORT
DECEMBER 31, 2018
(In Rupiah)
SALDO
KETERANGAN Rp
Rp
UD BUANA
CLOSING JOURNAL
PER 31 DESEMBER 2018

DATE DESCRIPTION REFF DEBIT CREDIT


2018
DES
UD BUANA
POST CLOSING TRIAL BALANCE
PER 31 DESEMBER 2022

ACCOUNT DEBIT CREDIT


ACCOUNT NAME
NUMBER Rp Rp
1-1100 Cash in Bank
1-1200 Petty Cash
1-1300 Accounts Receivable
1-1400 Allowance for Doubtful Debt
1-1500 Merchandise Inventory
1-1600 Store Supplies
1-1700 Prepaid Insurance
1-1800 Prepaid Rent
1-1900 Prepaid Tax
1-2100 Equipment at Cost
1-2110 Equipment Accum Dep
2-1100 Accounts Payable
2-1200 Expense Payable
2-1300 Income Tax Payable
2-1400 PPN Payable
2-1500 PPN Outcome
2-1600 PPN Income
2-2100 Bank Permata Loan
3-1100 Raka Capital

Jumlah ........................

You might also like