Statements 3
Statements 3
Statements 3
TOTAL 1,995,416.75
CAPITAL 2,000,000.00
4,902.00 202,400.00
1,225.00
FURNITURE AND FIXTURES TOOLS AND EQUIPMENT
QUANTITY UNIT COST TOTAL QUANTITY
1 5,600.00 5,600.00 Shoe Cleaner Machine (4800) 4
1 2,200.00 2,200.00 Generator 1
2 2,660.00 5,320.00 Desktop 1
2 2,300.00 4,600.00 Security System Camera 3
1 4,990.00 4,990.00 Tool Box 1
6 600.00 3,600.00 Printer 1
Telephone 1
Emergency Lights 1
Water Dispenser 1
Fire Extinguisher 1
Mitsubishi L300 Deluxe Cab 1
26,310.00
ND EQUIPMENT SALARIES
UNIT COST TOTAL MONTHLY SALARY
240,000.00 960,000.00 Maintenance and Utilities Personnel 9,600.00
48,740.00 48,740.00 Manager 16,500.00
24,200.00 24,200.00 Bookkeeper 10,000.00
2,580.00 7,740.00
4,800.00 4,800.00
4,850.00 4,850.00
1,800.00 1,800.00
1,190.00 1,190.00
1,030.00 1,030.00
3,300.00 3,300.00
610,000.00 610,000.00
1,667,650.00
REPAIRS AND MAINTENANCE TAXES AND LICENSES
ANNUAL SALARY QUARTERLY ANNUAL COST
115,200.00 2,700.00 10,800.00
198,000.00
120,000.00
433,200.00 10,800.00
AND LICENSES ADVERTISING EXPENSE
ANNUAL COST QUANTITY UNIT COST TOTAL
Tarpaulin 4 340.00 1,360.00
Poster 60 5.00 300.00
1,660.00
UTILITIES EXPENSE ORGANIZATIONAL COST
MONTHLY COST ANNUAL COST
Electricity - Admin. 1,300.00 15,600.00 SEC Registration
Electricity - OH 2,800.00 33,600.00 Barangay Clearance
Water 300.00 3,600.00 Community tax Clearance
Telephone and Internet 1,300.00 15,600.00 Mayor's Business Permit
Gas 200.00 2,400.00 BIR Registration Fee
BIR Certification Fee
Business Plate Fee
Garbage Fee
70,800.00
ATIONAL COST RENT EXPENSE
MONTHLY COST ANNUAL COST
500.00 Office Rent 28,000.00 336,000.00
200.00 Space Rent 8,000.00 96,000.00
500.00
10,000.00
500.00
100.00
150.00
260.00
12,210.00 432,000.00
2018
1 Note 1: OFFICE SUPPLIES 2018
BEGINNING BALANCE -
ADD: Purchases
Bond paper (long) 145.00
Bond paper (short) 125.00
Stapler 50.00
Ballpen 168.00
Log books 160.00
Calculator 230.00
Puncher 90.00
Epson Ink (Assorted) 3,500.00
Folder (long) 120.00
Folder (short) 90.00
Fasteners 40.00
Clear Tape 44.00
Scissor 120.00
Staple Wire 20.00
TOTAL PURCHASES 4,902.00
TOTAL OFFICE SUPPLIES 4,902.00
Percentage of Used Supplies 80%
OFFICE SUPPLIES EXPENSE 3,921.60
ENDING BALANCE 980.40
2018
Utilities Expense - Electricity 33,600.00
Rent Expense 96,000.00
Maintenance Supplies Expense 161,920.00
Depreciation of Shoe Cleaner Machine 160,000.00
TOTAL 451,520.00
Divided by: Normal Capacity 129,600.00
Cost of Service per pair of shoe 3.48
2019 2020 2021 2022
2019 2020 2021 2022
980.40 1,205.89 1,281.28 1,327.57
- - - -
- - - -
PURCHASES
Office Supplies 4,902.00 -
Maintenance Supplies 202,400.00 -
Other Supplies 1,225.00 -
Furnitures and Fixtures 26,310.00
Tools and Equipments 1,667,650.00
Cash 1,902,487.00
PAYMENT
Organizational Cost/Taxes and Licenses 12,210.00
Cash 12,210.00
DEPRECIATION
Accumulated Dep'n - F & F 2,631.00
Accumulated Dep'n - T & Q 261,495.71
Dep'n expense 104,126.71 -
OH - Dep'n 160,000.00 -
PAYMENT
Rent Expense 336,000.00 -
OH - Rent 96,000.00 -
Advertising Expense 1,660.00 -
Utilities Expense 37,200.00 -
OH - Utilities 33,600.00 -
Repairs and maintenance 10,800.00 -
Cash 515,260.00
cash 1,944,000.00 -
service revenue 1,944,000.00
11,663,068.57 11,663,068.57
CASH 2,000,000.00
1,902,487.00
12,210.00
515,260.00
101,732.04
30,961.67
1,944,000.00 -
1,000,000.00
191,185.67
AD 2,631.00
AD 261,495.71
COS 451,520.00 -
451,520.00
OH 160,000.00 -
96,000.00 -
33,600.00 -
161,920.00 -
96,000.00
160,000.00
161,920.00
33,600.00
RENT EXPENSE 336,000.00 -
336,000.00
INCOME
2019 2020
Dr Cr Dr Cr
5,049.06 - 5,200.53 -
208,472.00 - 214,726.16 -
1,261.75 - 1,299.60 -
- -
- -
214,782.81 221,226.29
11,780.00 - 12,428.00 -
- 11,780.00 - 12,428.00
- 2,631.00 - 2,631.00
- 261,495.71 - 261,495.71
104,126.71 - 104,126.71 -
160,000.00 - 160,000.00 -
346,080.00 - 356,462.40 -
98,880.00 - 101,846.40 -
1,709.80 - 1,761.09 -
38,316.00 - 39,465.48 -
34,608.00 - 35,646.24 -
11,124.00 - 11,457.72 -
- 530,717.80 - 546,639.33
199,161.60 - 211,613.25 -
4,823.57 - 5,125.14 -
1,205.40 - 1,280.76 -
- 199,161.60 - 211,613.25
- 4,823.57 - 5,125.14
- 1,205.40 - 1,280.76
115,200.00 - 115,200.00 -
- 4,142.40 - 4,142.40
- 1,350.00 - 1,350.00
- 1,200.00 - 1,200.00
- 6,775.56 - 6,775.56
- 101,732.04 - 101,732.04
20,667.60 - 20,667.60 -
- 8,517.60 - 8,517.60
- 1,350.00 - 1,350.00
- 1,200.00 - 1,200.00
- 9,600.00 - 9,600.00
12,660.00 - 12,660.00 -
2,700.00 - 2,700.00 -
2,400.00 - 2,400.00 -
9,600.00 - 9,600.00 -
6,352.09 - 6,669.69 -
- 33,712.09 - 34,029.69
492,649.60 - 509,105.89 -
- 98,880.00 - 101,846.40
- 160,000.00 - 160,000.00
- 199,161.60 - 211,613.25
- 34,608.00 - 35,646.24
2,073,600.00 - 2,203,200.00 -
- 2,073,600.00 - 2,203,200.00
2,073,600.00 - 2,203,200.00 -
- 492,649.60 - 509,105.89
- 11,780.00 - 12,428.00
- 4,823.57 - 5,125.14
- 1,205.40 - 1,280.76
- 115,200.00 - 115,200.00
- 11,124.00 - 11,457.72
- 1,709.80 - 1,761.09
- 38,316.00 - 39,465.48
- 346,080.00 - 356,462.40
- 104,126.71 - 104,126.71
- 20,667.60 - 20,667.60
- 925,917.32 - 1,026,119.20
226,679.99 - 245,354.21 -
127,679.99 - 96,854.21 -
127,679.99 - 96,854.21 -
187,679.99 - 186,854.21 -
127,679.99 - 96,854.21 -
- 797,399.93 - 722,771.03
277,775.20 - 307,835.76 -
- 277,775.20 - 307,835.76
256,127.81 - 294,908.77 -
- 256,127.81 - 294,908.77
277,775.20 - 307,835.76 -
- 277,775.20 - 307,835.76
648,142.12 - 718,283.44 -
264,028.42 278,056.69
66,028.42 80,056.69
66,028.42 80,056.69
186,028.42 200,056.69
66,028.42 80,056.69
- 214,782.81 - 221,226.29
- 11,780.00 - 12,428.00
- 530,717.80 - 546,639.33
- 101,732.04 - 101,732.04
- 33,712.09 - 34,029.69
2,073,600.00 - 2,203,200.00 -
- 797,399.93 - 722,771.03
- 256,127.81 - 294,908.77
5,049.06 - 5,200.53 -
- 4,823.57 - 5,125.14
208,472.00 - 214,726.16 -
- 199,161.60 - 211,613.25
1,261.75 - 1,299.60 -
- 1,205.40 - 1,280.76
- - - -
- 2,631.00 - 2,631.00
- - - -
- 261,495.71 - 261,495.71
- 4,142.40 - 4,142.40
- 8,517.60 - 8,517.60
12,660.00 - 12,660.00 -
- 1,350.00 - 1,350.00
- 1,350.00 - 1,350.00
2,700.00 - 2,700.00 -
- 1,200.00 - 1,200.00
- 1,200.00 - 1,200.00
2,400.00 - 2,400.00 -
- 6,775.56 - 6,775.56
6,352.09 - 6,669.69 -
- 277,775.20 - 307,835.76
256,127.81 - 294,908.77 -
226,679.99 - 245,354.21 -
- 264,028.42 - 278,056.69
127,679.99 - 96,854.21 -
- 66,028.42 - 80,056.69
127,679.99 - 96,854.21 -
- 66,028.42 - 80,056.69
187,679.99 - 186,854.21 -
- 186,028.42 - 200,056.69
127,679.99 - 96,854.21 -
- 66,028.42 - 80,056.69
- 2,073,600.00 - 2,203,200.00
2,073,600.00 - 2,203,200.00 -
492,649.60 - 509,105.89 -
- 492,649.60 - 509,105.89
4,823.57 - 5,125.14 -
- 4,823.57 - 5,125.14
1,205.40 - 1,280.76 -
- 1,205.40 - 1,280.76
104,126.71 - 104,126.71 -
- 104,126.71 - 104,126.71
11,780.00 - 12,428.00 -
- 11,780.00 - 12,428.00
160,000.00 - 160,000.00 -
98,880.00 - 101,846.40 -
34,608.00 - 35,646.24 -
199,161.60 - 211,613.25 -
- 98,880.00 - 101,846.40
- 160,000.00 - 160,000.00
- 199,161.60 - 211,613.25
- 34,608.00 - 35,646.24
346,080.00 - 356,462.40 -
- 346,080.00 - 356,462.40
38,316.00 - 39,465.48 -
- 38,316.00 - 39,465.48
1,709.80 - 1,761.09 -
- 1,709.80 - 1,761.09
11,124.00 - 11,457.72 -
- 11,124.00 - 11,457.72
115,200.00 - 115,200.00 -
- 115,200.00 - 115,200.00
20,667.60 - 20,667.60 -
- 20,667.60 - 20,667.60
- 925,917.32 - 1,026,119.20
277,775.20 - 307,835.76 -
648,142.12 - 718,283.44 -
277,775.20 - 307,835.76 -
- 277,775.20 - 307,835.76
5,356.55 - 5,517.24
221,167.94 - 227,802.98
1,338.59 - 1,378.75
- -
- -
227,863.08 234,698.98
13,076.00 - 13,724.00 -
- 13,076.00 - 13,724.00
- 2,631.00 - 2,631.00
- 261,495.71 - 261,495.71
104,126.71 - 104,126.71 -
160,000.00 - 160,000.00 -
367,156.27 - 378,170.96 -
104,901.79 - 108,048.85 -
1,813.93 - 1,868.34 -
40,649.44 - 41,868.93 -
36,715.63 - 37,817.10
11,801.45 - 12,155.50 -
- 563,038.51 - 579,929.67
219,257.01 - 226,093.79
5,310.27 - 5,475.85 -
1,327.02 - 1,368.40 -
- 219,257.01 - 226,093.79
- 5,310.27 - 5,475.85
- 1,327.02 - 1,368.40
115,200.00 - 115,200.00 -
- 4,142.40 - 4,142.40
- 1,350.00 - 1,350.00
- 1,200.00 - 1,200.00
- 6,775.56 - 6,775.56
- 101,732.04 - 101,732.04
20,667.60 - 20,667.60 -
- 8,517.60 - 8,517.60
- 1,350.00 - 1,350.00
- 1,200.00 - 1,200.00
- 9,600.00 - 9,600.00
12,660.00 - 12,660.00 -
2,700.00 - 2,700.00 -
2,400.00 - 2,400.00 -
9,600.00 - 9,600.00 -
6,749.09 - 6,768.94 -
- 34,109.09 - 34,128.94
520,874.42 - 531,959.73 -
- 104,901.79 - 108,048.85
- 160,000.00 - 160,000.00
- 219,257.01 - 226,093.79
- 36,715.63 - 37,817.10
2,332,800.00 - 2,462,400.00 -
- 2,332,800.00 - 2,462,400.00
2,332,800.00 - 2,462,400.00 -
- 520,874.42 - 531,959.73
- 13,076.00 - 13,724.00
- 5,310.27 - 5,475.85
- 1,327.02 - 1,368.40
- 115,200.00 - 115,200.00
- 11,801.45 - 12,155.50
- 1,813.93 - 1,868.34
- 40,649.44 - 41,868.93
- 367,156.27 - 378,170.96
- 104,126.71 - 104,126.71
- 20,667.60 - 20,667.60
- 1,130,796.88 - 1,235,813.98
261,705.45 - 277,208.50 -
88,455.45 - 91,583.50 -
88,455.45 - 91,583.50 -
193,455.45 - 204,083.50 -
88,455.45 - 91,583.50 -
- 720,527.23 - 756,042.52
339,239.06 - 370,744.19 -
- 339,239.06 - 370,744.19
328,156.49 - 360,097.27 -
- 328,156.49 - 360,097.27
339,239.06 - 370,744.19 -
- 339,239.06 - 370,744.19
791,557.81 - 865,069.78 -
292,711.56 307,413.96
94,711.56 109,413.96
94,711.56 109,413.96
214,711.56 229,413.96
94,711.56 109,413.96
- 227,863.08 - 234,698.98
- 13,076.00 - 13,724.00
- 563,038.51 - 579,929.67
- 101,732.04 - 101,732.04
- 34,109.09 - 34,128.94
2,332,800.00 - 2,462,400.00 -
- 720,527.23 - 756,042.52
- 328,156.49 - 360,097.27
5,356.55 - 5,517.24 -
- 5,310.27 - 5,475.85
221,167.94 - 227,802.98 -
- 219,257.01 - 226,093.79
1,338.59 - 1,378.75 -
- 1,327.02 - 1,368.40
- - - -
- 2,631.00 - 2,631.00
- - - -
- 261,495.71 - 261,495.71
- 4,142.40 - 4,142.40
- 8,517.60 - 8,517.60
12,660.00 - 12,660.00 -
- 1,350.00 - 1,350.00
- 1,350.00 - 1,350.00
2,700.00 - 2,700.00 -
- 1,200.00 - 1,200.00
- 1,200.00 - 1,200.00
2,400.00 - 2,400.00 -
- 6,775.56 - 6,775.56
6,749.09 - 6,768.94 -
- 339,239.06 - 370,744.19
328,156.49 - 360,097.27 -
261,705.45 - 277,208.50 -
- 292,711.56 - 307,413.96
88,455.45 - 91,583.50 -
- 94,711.56 - 109,413.96
88,455.45 - 91,583.50 -
- 94,711.56 - 109,413.96
193,455.45 - 204,083.50 -
- 214,711.56 - 229,413.96
88,455.45 - 91,583.50 -
- 94,711.56 - 109,413.96
- 2,332,800.00 - 2,462,400.00
2,332,800.00 - 2,462,400.00 -
520,874.42 - 531,959.73 -
- 520,874.42 - 531,959.73
5,310.27 - 5,475.85 -
- 5,310.27 - 5,475.85
1,327.02 - 1,368.40 -
- 1,327.02 - 1,368.40
104,126.71 - 104,126.71 -
- 104,126.71 - 104,126.71
13,076.00 - 13,724.00 -
- 13,076.00 - 13,724.00
160,000.00 - 160,000.00 -
104,901.79 - 108,048.85 -
36,715.63 - 37,817.10 -
219,257.01 - 226,093.79 -
- 104,901.79 - 108,048.85
- 160,000.00 - 160,000.00
- 219,257.01 - 226,093.79
- 36,715.63 - 37,817.10
367,156.27 - 378,170.96 -
- 367,156.27 - 378,170.96
40,649.44 - 41,868.93 -
- 40,649.44 - 41,868.93
1,813.93 - 1,868.34 -
- 1,813.93 - 1,868.34
11,801.45 - 12,155.50 -
- 11,801.45 - 12,155.50
115,200.00 - 115,200.00 -
- 115,200.00 - 115,200.00
20,667.60 - 20,667.60 -
- 20,667.60 - 20,667.60
- 1,130,796.88 - 1,235,813.98
339,239.06 - 370,744.19 -
791,557.81 - 865,069.78 -
339,239.06 - 370,744.19 -
- 339,239.06 - 370,744.19
sss payable
philhealth
hdmf
withholding tax
income tax
190,163.62
### 317,511.14
### 586,975.98
### 931,273.52
###
980.40
### 225.49
### 75.39
### 46.28
###
40,480.00
### 9,310.40
### 3,112.91
### 1,910.94
###
245.00
### 56.35
### 18.84
### 11.57
###
26,310.00
### 26,310.00
### 26,310.00
### 26,310.00
###
2,631.00
### 5,262.00
### 7,893.00
### 10,524.00
###
1,667,650.00
### 1,667,650.00
### 1,667,650.00
### 1,667,650.00
###
261,495.71
### 522,991.43
### 784,487.14
### 1,045,982.86
###
1,661,702.31
### 1,492,809.95
### 1,491,762.98
### 1,570,695.45
###
1,055.00
### 1,055.00
### 1,055.00
### 1,055.00
###
225.00
### 225.00
### 225.00
### 225.00
###
200.00
### 200.00
### 200.00
### 200.00
###
1,693.89
### 2,117.36
### 2,223.23
### 2,249.70
###
63,728.56
### 85,375.94
### 98,302.92
### 109,385.50
###
453,359.97
### 490,708.41
### 523,410.89
### 554,417.01
###
255,359.97
### 193,708.41
### 176,910.89
### 183,167.01
###
255,359.97
### 193,708.41
### 176,910.89
### 183,167.01
###
375,359.97
### 373,708.41
### 386,910.89
### 408,167.01
###
255,359.97
### 193,708.41
### 176,910.89
### 183,167.01
###
1,661,702.31
### 1,534,515.35
### 1,543,060.62
### 1,625,200.24
###
###
- -### ###
- ###
-
###
- -### ###
- ###
-
###
- -### ###
- ###
-
###
- -### ###
- ###
-
###
- -### ###
- ###
-
###
- -### ###
- ###
-
-
1,313,320.11 - - - -
41.40
1,709.20
10.34
26,310.00
13,155.00
1,667,650.00
1,307,478.57
1,688,407.47
1,055.00
225.00
200.00
2,256.31
120,032.42
584,622.46
200,997.46
200,997.46 - - -
433,497.46
200,997.46
1,744,881.04
-
-
2018 2019 2020
987,747.10 1,371,554.62
113,115.19 123,768.74
874,631.90 ###
113,115.19 123,768.74
1,625,200.24 1,744,881.04
0.07 0.07
1,512,085.05 1,621,112.31
1,625,200.24 1,744,881.04
0.93 0.93
791,557.81 865,069.78
812,600.12 872,440.52
0.97 0.99
791,557.81 865,069.78
1,476,569.76 1,566,598.68
0.54 0.55
113,115.19 123,768.74
1,512,085.05 1,621,112.31
0.07 0.08
791,557.81 865,069.78
2,332,800.00 2,462,400.00
0.34 0.35
791,557.81 865,069.78
2,000,000.00 2,000,000.00
0.40 0.43
ORKING CAPITAL PAYBACK PERIOD
231,869.02 Net Cash Inflows
66,902.45 -
164,966.57 190,163.62
317,511.14
586,975.98
931,273.52
1,313,320.11
TOTAL
PAYBACK PERIOD
Investment Years
2,000,000.00 -
1,809,836.38 1
1,492,325.24 1
905,349.26 0.97
-
- -
2.97
CLEAN AND GO COMPANY
Statement of Changes in Partner's Equit
For the year ended, December 31
Note Baui, CapitalChangilan, Capital
PROFIT DISTRIBUTION
DUCLAN RAMOS WACANGAN TOTAL
- 120,000.00 - 318,000.00
55,359.97 55,359.97 55,359.97 276,799.86
55,359.97 175,359.97 55,359.97 594,799.86
- 120,000.00 - 318,000.00
66,028.42 66,028.42 66,028.42 330,142.12
66,028.42 186,028.42 66,028.42 648,142.12
- 120,000.00 - 318,000.00
80,056.69 80,056.69 80,056.69 400,283.44
80,056.69 200,056.69 80,056.69 718,283.44
- 120,000.00 - 318,000.00
94,711.56 94,711.56 94,711.56 473,557.81
94,711.56 214,711.56 94,711.56 791,557.81
- 120,000.00 - 318,000.00
109,413.96 109,413.96 109,413.96 547,069.78
109,413.96 229,413.96 109,413.96 865,069.78
CLEAN AND GO COMP
Statement of Comprehensiv
For the year ended, Decem
Note
Revenue 16
Cost of Service 22
Rent Expense - Space for Machine 22
Depreciation Expense - Shoe Cleaner Machine 25
Machine Supplies Expense 2
Utilities Expense 22
Total Cost of service
Gross Income
Less:
Office Supplies Expense 1
Other Supplies Expense 3
Utilities Expense 12
Rent Expense 17
Depreciation Expense 8
Organizational Cost 13
Taxes and Licenses 14
Advertising Expense 11
Salaries Expense 9
Repairs and maintenance 10
Employee Benefits 21
Total Expenses
Income Before Tax
Less: Tax (30%)
INCOME AFTER TAX
CLEAN AND GO COMPANY
Statement of Comprehensive Income
For the year ended, December 31
2018 2019 2020 2021
1,944,000.00 2,073,600.00 2,203,200.00 2,332,800.00
108,048.85
160,000.00
226,093.79
37,817.10
531,959.73
1,930,440.27
5,475.85
1,368.40
41,868.93
378,170.96
104,126.71
-
13,724.00
1,868.34
115,200.00
12,155.50
20,667.60
694,626.29
1,235,813.98
370,744.19
865,069.78
CLEAN AN
Statement o
As of
Note
ASSET
Current Asset:
Cash SCF
Office Supplies 1
Machine Supplies 2
Other Supplies 3
Total Current Asset
Non-Current Asset:
Furniture and Fixtures 4
Accumulated Depreciation - Furniture and Fixtures 5
Tools and Equipment 6
Accumulated Depreciation - Tools and Equipment 7, 25
Total Non-Current Asset
TOTAL ASSETS
LIABILITIES
Current Liabilities:
SSS Payable 18
PhilHealth Payable 19
HDMF Payable 20
Withholding Tax Payable 23
Income Tax Payable 24
TOTAL LIABILITIES
PARTNER'S EQUITY
Baui, Capital SCE
Changilan, Capital SCE
Duclan, Capital SCE
Ramos, Capital SCE
Wacangan, Capital SCE
TOTAL PARTNER'S EQUITY
TOTAL LIABILITIES AND PARTNER'S EQUITY
CLEAN AND GO COMPANY
Statement of Financial Position
As of December 31
2018 2019 2020 2021
1,313,320.11
1,368.96
56,523.45
342.10
1,371,554.62
26,310.00
- 13,155.00
1,667,650.00
- 1,307,478.57
373,326.43
1,744,881.04
1,055.00
225.00
200.00
2,256.31
120,032.42
123,768.74
584,622.46
200,997.46
200,997.46
433,497.46
200,997.46
1,621,112.31
1,744,881.04
2018
ASSET -
Current Asset: -
Cash and Cash Equivalents 190,163.62 - 214,782.81
Office Supplies 980.40 5,049.06
Maintenance Supplies 40,480.00 208,472.00
Other Supplies 245.00 1,261.75
Furniture and Fixtures 26,310.00
Accumulated Depreciation - Furniture and Fixtures - 2,631.00 - 2,631.00
Tools and Equipment 1,667,650.00
Accumulated Depreciation - Tools and Equipment - 261,495.71 - 261,495.71
TOTAL ASSETS 1,661,702.31
LIABILITIES -
Current Liabilities: -
SSS Payable 1,055.00 4,142.40
PhilHealth Payable 225.00 1,350.00
HDMF Payable 200.00 1,200.00
Withholding Tax Payable 1,693.89 6,775.56
Income Tax Payable 63,728.56 277,775.20
Baui, Capital 453,359.97
Changilan, Capital 255,359.97
Duclan, Capital 255,359.97 648,142.12
Ramos, Capital 375,359.97
Wacangan, Capital 255,359.97
TOTAL LIABILITIES AND PARTNER'S EQUITY 1,661,702.31
Revenue 2,073,600.00
COS
rent 98,880.00
dep'n 160,000.00
maintenance 199,161.60
utilities 34,608.00
total COS 492,649.60
GROSS INCOME 1,580,950.40
LESS:
office supplies expense 4,823.57
other supplies expense 1,205.40
depreciation expense 104,126.71
salaries expense 115,200.00
employee benefits 20,667.60
taxes and licenses 11,780.00
rent expense 346,080.00
advertising expense 1,709.80
utilities expense 38,316.00
reapirs amd maintenan 11,124.00
TOTAL EXPENSES 655,033.08
INCOME BEFORE TAX 925,917.32
tax 277,775.20
INCOME AFTER TAX 648,142.12
- 11,780.00 - 530,717.80 - 101,732.04 - 33,712.09 2,073,600.00 - 256,127.81
- 4,823.57
- 199,161.60
- 1,205.40
8,517.60 - 12,660.00
1,350.00 - 2,700.00
1,200.00 - 2,400.00
- 6,352.09
- 256,127.81
- 797,399.93
- 797,399.93 317,511.14
1,205.89
49,790.40
301.35
26,310.00
- 5,262.00
1,667,650.00
- 522,991.43
1,534,515.35
1,055.00
225.00
200.00
2,117.36
85,375.94
453,359.97
255,359.97
106,102.16
375,359.97
255,359.97
1,534,515.35
CLEAN AND GO COMP
Statement of Cash Fl
For the year ended, Decem
Note
OPERATING ACTIVITIES
Cash Received From Customer 16
Repairs and Maintenance 10
Rent Paid 17 , 22
Purchases 1, 2, 3, 4, 6
Payment of Utilities 12
Salaries Paid 9
SSS Contribution Paid 18
PhilHealth Contribution Paid 19
HDMF Contribution Paid 20
13th month pay paid 21
Withholding Tax Paid 23
Advertising Expense paid 11
Organizational Cost Paid 13
Taxes and Licenses Paid 14
Income Tax Paid 24
Net Cash Provided/Used by Operating Activities
INVESTING ACTIVITIES
Purchase of Furniture and Fixture 4
Purchase of Tools And Equipments 6
Net Cash Provided/Used by Investing Activities
FINANCING ACTIVITIES
Investment by Partners
Withdrawal 15
Net Provided/Used by Financing Activities
Net Cash Provided From Different Activities
Add: Cash Balance Beginning
TOTAL
CLEAN AND GO COMPANY
Statement of Cash Flows
For the year ended, December 31
2018 2019 2020 2021
26,310.00 - - -
1,667,650.00 - - -
- 1,693,960.00 - - -
- - - -
1,000,000.00 797,399.93 722,771.03 720,527.23
- 1,000,000.00 - 797,399.93 - 722,771.03 - 720,527.23
- 1,809,836.38 127,347.52 269,464.84 344,297.55
2,000,000.00 190,163.62 317,511.14 586,975.98
190,163.62 317,511.14 586,975.98 931,273.52
2022
2,462,400.00
12,155.50
486,219.81
234,698.98
79,686.02
101,732.04
12,660.00
2,700.00 -
2,400.00
9,600.00
6,768.94
1,868.34
-
13,724.00
360,097.27
1,138,089.10
-
-
-
-
756,042.52
- 756,042.52
382,046.58
931,273.52
1,313,320.11