LJK Lapkeu
LJK Lapkeu
LJK Lapkeu
Adjustment Journal
Period................................................
(in Rp)
Date Invoice No. Account Name Ref. Debit Credit
PT ROARY SIMBA
WORKSHEET
December 31, 2022
Acc. Trial Balance Adjusting Journal Entries Adjusted Trial Balance Income Summary Balance Sheet
Description
No. DEBET CREDIT DEBET CREDIT DEBET CREDIT DEBET CREDIT DEBET CREDIT
1-1100 Petty Cash 4.000.000 - - - 4.000.000,00 4.000.000,00 -
5.628.369.279 5.628.369.279 69.958.926 69.958.926 5.673.988.206 5.673.988.206 2.665.019.874 3.344.637.519 3.008.968.331 2.329.350.687
0 - 679.617.644 679.617.644
3.344.637.519 3.344.637.519 3.008.968.331 3.008.968.331
........................................................................
(In Rp)
........................................................................
Deviden - -
Balance Sheet
…...............................................................................
(In Rp)
@ Soal Mengelola Buku Jurnal
PT ROARY SIMBA
BALANCE SHEET BALANCE SHEET
NO. ACCOUNT December 31, 2022 December 31, 2021 SELISIH
DEBET CREDIT DEBET CREDIT
1-1100 Petty Cash 4.000.000 - 4.500.000 -
1-1110 Cash In Bank 1.323.501.595 - 707.163.691 -
1-1120 Marketable Securities 90.405.000 - 90.405.000 - -
1-1130 Accounts Receivable 218.476.025 216.800.000 - 1.676.025,00
1-1140 Allowance for Uncollectible Accounts 10.923.801 - 5.080.000 - 5.843.801,25
1-1150 Employee Receivable 350.000 - 1.650.000 - - 1.300.000,00
1-1160 Merchandise Inventory 466.532.500 - 580.801.200 - - 114.268.700,00
1-1170 Office Supplies 2.100.000 - 1.935.000 - 165.000,00
1-1180 Store Supplies 5.640.000 - 5.865.000 - - 225.000,00
1-1190 Value Added Tax - In (VAT-In) 45.863.211 - 43.570.051 - 2.293.160,57
1-1210 Prepaid Insurance 10.400.000 - 31.200.000 - - 20.800.000,00
1-1220 Prepaid Advertising 1.200.000 - - - 1.200.000,00
Deposit Paid 25.000.000 - - - 25.000.000,00
1-2100 Land 165.000.000 - - 165.000.000,00
1-2110 Building 210.000.000 210.000.000 - -
1-2120 Accumulated Depreciation - Building 73.500.000 - 63.000.000 10.500.000,00
1-2130 Vehicles 199.500.000 175.000.000 - 24.500.000,00
1-2140 Accumulated Depreciation - Vehicles - 96.614.583 - 74.739.583 21.875.000,00
1-2150 Equipment 220.000.000 220.000.000 - -
1-2160 Accumulated Depreciation - Equipment - 212.083.333 - 157.083.333 55.000.000,00
2-1100 Accounts Payable - 125.000.000 - 289.607.257 - 164.607.256,68
2-1110 Wages & Salaries Payable - 26.600.000 - - 26.600.000,00
2-1120 Electricity, Telephone & Water Payable - 2.630.000 - 14.760.000 - 12.130.000,00
2-1130 Value Added Tax - Out (VAT - Out) - 60.449.659 - 1.260.000 59.189.659,09
2-1140 Income Tax Payable - 2.639.875 - 88.200 2.551.675,00
2-1150 Dividend Payable - 21.000.000 - 604.901 20.395.098,86
2-1160 Unearned Revenue - 120.000.000 - - 120.000.000,00
2-2100 Bank Loan - 301.909.435 - 406.666.667 - 104.757.231,96
3-1000 Common Stock - 700.000.000 - 700.000.000 -
3-2000 Retained Earnings 576.000.000 - 576.000.000 -
Dividend 21.000.000 - - 21.000.000,00
…………………………………………………………………………………………………………………………………………………..
STATEMENT OF CASHFLOW
1/1/2022 through 31/12/2022