Estados Financieros
Estados Financieros
Estados Financieros
EVALUACIN:
CONTABILIDAD DE COSTOS I
GUA INSTRUCCIONAL 3
CICLO:
SECCIN:
02-2015
05
DOCENTE:
CARN
18-0179-2015
11-1837-2015
11-3675-2015
20-3979-2015
11-1608-2015
18-0178-2015
$12,000
$25,000
$37,000
$7,000
$30,000
$10,000
$10,000
$50,000
$10,000
$60,000
$8,000
$52,000
$11,000
$52,000
$63,000
$16,000
$47,000
Ventas Netas
Ventas de Productos
(-)
$100,000
$100,00
0
Costo de Ventas
Costo de Ventas de Productos
$47,000
$47,000
$53,000
Gastos de Operacin
$13,000
Gastos de Ventas
$5,000
Gastos de Administracin
$8,000
$40,000
Gastos Financieros
(=) Utilidad Antes de Reservas e Impuestos
(-)
$4,000
$4,000
$36,000
$2,520
$33,480
$10,044
$23,436
PASIVO
CORRIENTE
$90,000
CORRIENTE
$4
$25,000
$10,000
$32,500
$25,000
Inventarios
$31,000
$10,044
Pagos Anticipados
$1,500.
NO CORRIENTE
$2
$26,000
PATRIMONIO
$4
$18,000
Capital Social
$20,000
$8,000
Reserva Legal
$2,520
$25,000
$116,000
$23,436
$116
(+
)
(+
)
(+
)
(+
)
(+
)
(=
)
(-)
$13,000.00
$57,000.00
$27,000.0
0
$18,000.0
0
$12,000.0
0
(=
Costo de los producto fabricados
)
$70,000.00
$9,050.00
$60,950.00
(+
Inventario inicial articulas terminados
)
(+
Costo de produccion
)
$14,000.00
$60,950.00
(=
Articulos terminados en disponibilidad
)
$74,950.00
$18,000.00
(=
Costo de los articulos vendidos
)
$56,950.00
ESTADO DE RESULTADOS
DEL 01 AL 31 DE AGOSTO DE 2015
(Expresado en Dlares de los Estados Unidos de Amrica)
Ventas netas
$250,000.00
$56,950.00
$193,050.00
$112,850.00
Gastos de Admon
$57,050.00
Gastos de Venta
$55,800.00
(=
Utilidad de operacin
)
$80,200.00
$9,080.00
Gastos financieros
(=
Utilidad antes de la reserva
)
(-) Reserva legal 7%
(=
Utilidad antes del ISR
)
(-) Impuesto sobre la renta ISR
(=
Utilidad neta del ejercicio
)
$9,080.00
$71,120.00
$4,978.40
$66,141.60
$19,842.48
$46,299.12
$78,150
$28,000
($2,000)
$9,050
$18,000
$23,000
$2,100
$50,970
$37,080
($2,000)
$17,100
($1,210)
$129,120.00
PASIVO
PASIVO CORRIENTE
Cuentas por pagar
Cuentas por pagar comerciales
Proveedores locales
Impuesto por pagar
Prstamos y sobre giros bancarios
Prstamos a corto plazo
PASIVO NO CORRIENTE
Prstamos bancarios a largo plazo
TOTAL PASIVO
$38,842.48
$12,000
$19,842.5
$7,000
$14,000
$14,000
$52,842.48
PATRIMONIO NETO
Capital Social
Reserva legal
Utilidad del Ejercicio
Total de Patrimonio + capital
$76,277.52
$25,000
$4,978.4
$46,299.12
$129,120.00
$0.00
$24,000.00
$24,000.00
(-)
(=
)
(+
)
(+
)
(=
)
(+
)
(=
)
$0.00
$24,000.00
(-)
(=
)
(+
)
(=
)
$9,000.00
$8,900.00
$41,900.00
$18,000.00
$59,900.00
$0.00
$59,900.00
$10,000.00
$69,900.00
$15,000.00
$54,900.00
$162,000.00
$162,000.00
$54,900.00
$54,900.00
$107,100.00
$67,000.00
$39,000.00
$28,000.00
$40,100.00
$7,600.00
$7,600.00
$32,500.00
$2,275.00
$30,225.00
$9,067.50
$21,157.50
PASIVO
$65,650.0
0
ORRIENTE
ventarios
gos Anticipados
$24,000.0
0
$23,250.0
0
$15,000.0
0
CORRIENTE
$42,067.
$3,400.00
$9,067.50
NO CORRIENTE
$21,000.
O CORRIENTE
tivos Intangibles
TOTAL ACTIVO
$19,000.0
0
$14,000.0
0
$20,550.0
0
$12,300.0
0
$98,500.0
0
$21,000.0
0
PATRIMONIO
$35,432.
Capital Social
$12,000.0
0
Reserva Legal
$2,275.00
$21,157.5
0
$98,500.