Ganda-Co. Sassy Mo Beauty Salon
Ganda-Co. Sassy Mo Beauty Salon
Ganda-Co. Sassy Mo Beauty Salon
CHART OF ACCOUNTS
ASSETS CASH 111 15,430.00
ACCOUNTS RECEIVABLE 113 5,900.00
OFFICE SUPPLIES 114 22,800.00
PREPAID RENT 115 36,000.00
EQUIPMENT 117 80,000.00
LIABILITIES ACCOUNTS PAYABLE 211
NOTES PAYABLE 212
UTILITIES PAYABLE 215
OWNER'S EQUITY MO,CAPITAL 311
MO, DRAWING 312 5,000.00
INCOME SERVICE REVENUE 411
EXPENSES WAGES EXPENSE 511 38,200.00
ADVERTISING EXPENSE 513 5,000.00
UTILITIES EXPENSE 516 3,964.00
MISCELLANEOUS EXPENSE 518 3,470.00
ASSETS ACCUMULATED DEPRECIATION-EQUIPMENT
LIABILITIES INTEREST PAYABLE
EXPENSES OFFICE SUPPLIES EXPENSE
RENT EXPENSE
DEPRECIATION EXPENSE
INTEREST EXPENSE
Totals 215,764.00
Net Income
Total
GANDA Co.
Worksheet
For the Month Ended 31 January
UNADJUSTED TRIAL BALANCE ADJUSTMENTS ADJUSTED TRIAL BALANCE INCOME STATEMENT
Credit Debit Credit Debit Credit Debit
15,430.00
5,900.00
18,480.00 4,320.00
12,000.00 24,000.00
80,000.00
5,200.00 5,200.00
20,000.00 20,000.00
3,964.00 3,964.00
100,000.00 100,000.00
5,000.00
86,600.00 86,600.00
38,200.00 38,200.00
5,000.00 5,000.00
3,964.00 3,964.00
3,470.00 3,470.00
1,100.00 1,100.00
150.00 150.00
18,480.00 18,480.00 18,480.00
12,000.00 12,000.00 12,000.00
1,100.00 1,100.00 1,100.00
150.00 150.00 150.00
215,764.00 31,730.00 31,730.00 217,014.00 217,014.00 82,364.00
4,236.00
86,600.00
INCOME STATEMENT BALANCE SHEET POST-CLOSING TRIAL BALANCE
Credit Debit Credit Debit Credit
15,430.00 15,430.00
5,900.00 5,900.00
4,320.00 4,320.00
24,000.00 24,000.00
80,000.00 80,000.00
5,200.00 5,200.00
20,000.00 20,000.00
3,964.00 3,964.00
100,000.00 99,236.00
5,000.00
86,600.00
1,100.00 1,100.00
150.00 150.00
Page: 1
1
Date Description PR Debit Credit
GANDA Co.
General Journal
For the month ended January
Page: 2
1
Date Description PR Debit Credit
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
Heading
2
Credit
1
0 0 0 0 0- 2
3
4
5
3 6 0 0 0- 6
7
8
9
6 0 0 0 0- 10
2 0 0 0 0- 11
12
13
14
1 7 6 0 0- 15
16
17
18
2 8 5 0 0- 19
20
21
22
1 7 6 0 0- 23
24
25
26
1 9 1 0 0- 27
28
29
30
31
5 4 1 0 0- 32
33
34
5 2 9 0 0- 35
36
37
Heading
2
Credit
1
1 5 3 0 0- 2
3
4
5
4 0 0 0- 6
7
8
9
5 2 0 0- 10
11
12
13
1 9 1 0 0- 14
15
16
17
5 0 0 0- 18
19
20
21
2 4 7 0- 22
23
24
25
1 4 9 4- 26
27
28
29
3 4 7 0- 30
31
32
- 33
5 0 0 0 34
35
36
6 1 0 3 4- 37
Heading
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9
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13
14
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31
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37
GANDA Co.
GENERAL LEDGER
Account: CASH 111
Date Item PR Debit Credit
1-Jan Initial Invesment GJ-1 100,000.00
2-Jan Rent Payment GJ-1 36,000.00
13-Jan Partial Payment-Equipment GJ-1 60,000.00
13-Jan Payment from the customer GJ-1 28,500.00
14-Jan Payment of office supplies GJ-1 17,600.00
14-Jan Salaries paid GJ-1 19,100.00
18-Jan Partial Collection from a customer GJ-1 32,900.00
23-Jan Settlement made by the customer GJ-2 15,300.00
24-Jan Collection from Ms. Chill GJ-2 4,000.00
28-Jan Salaries paid GJ-2 19,100.00
31-Jan Advertising GJ-2 5,000.00
31-Jan Miscellaneous GJ-2 3,470.00
31-Jan Withdawal GJ-2 5,000.00
Total 180,700.00 165,270.00
Balance 15,430.00
Page: 1
1
Date Description PR Debit Credit
GANDA Co.
General Journal
For the month ended January
Page: 2
1
Date Description PR Debit Credit
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
Heading
2
Credit
1
1 8 4 8 0- 2
3
4
5
1 2 0 0 0- 6
7
8
9
1 1 0 0- 10
11
12
13
1 5 0- 14
15
16
3 1 7 3 0- 17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
Heading
2
Credit
Heading
23
24
25
26
27
28
29
30
31
32
33
34
35
36
37
Ganda Co.
Closing Journal Entry
For the Month Ended 31 January
Page: 1
1
Date Description PR Debit
1
2
Credit
1
P 8 6 6 0 0- 2
3
4
5
P 3 8 2 0 0- 6
P 5 0 0 0- 7
P 3 9 6 4- 8
P 3 4 7 0- 9
P 1 8 4 8 0- 10
P 1 2 0 0 0- 11
P 1 1 0 0- 12
P 1 5 0- 13
14
15
16
P 4 2 3 6- 17
18
19
20
P 5 0 0 0 21
22
23
P 1 7 7 6 0 0 24
25
26
27
28
29
30
31
32
33
34
35
36
- 37
Heading
Heading
8
9
10
11
12
13
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17
18
19
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23
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31
32
33
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35
36
37
GANDA Co.
INCOME STATEMENT
For the Month Ended 31 January
ASSETS
CURRENT ASSETS
CASH 15,430.00
ACCOUNTS RECEIVABLE 5,900.00
OFFICE SUPPLIES 4,320.00
PREPAID RENT 24,000.00
TOTAL CURRENT ASSETS 49,650.00
NONCURRENT ASSETS
EQUIPMENT 80,000.00
ACCUMULATED DEPRECIATION-EQUIPMENT 1,100.00
TOTAL NONCURRENT ASSETS 78,900.00
TOTAL ASSETS 128,550.00
CAPITAL 100,000.00
LESS:WITHDRAWAL (5,000.00)
ADD:NET INCOME 4,236.00
TOTAL OWNER'S EQUITY 99,236.00
TOTAL LIABILITIES AND OWNER'SEQUITY 128,550.00
GANDA Co.
STATEMENT OF CASH FLOW
For the Month Ended 31 January
OPERATING ACTIVITIES
CASH COLLECTED FROM CUSTOMERS 80,700.00
CASH PAID FOR RENTALS 36,000.00
CASH PAID FOR OFFICE SUPPLIES 17,600.00
CASH PAID TO EMPLOYEES 38,200.00
CASH PAID FOR ADVERTISING 5,000.00
CASH PAID FOR MISCELLANEOUS 3,470.00
CASH PROVIDED FROM OPERATING ACTIVITIES (19,570.00)
INVESTING ACTIVITIES
PARTIAL PAYMENT-EQUIPMENT 60,000.00
CASH PROVIDED FROM INVESTING ACTIVITIES (60,000.00)
FINANCING ACTIVITIES
WITHDRAWAL 5,000.00
CASH PROVIDED FROM FINANCING ACTIVITIES (5,000.00)