JE, GL, TB Magpantay
JE, GL, TB Magpantay
JE, GL, TB Magpantay
Date
PARTICULARS P.R. Debit
Balance ₱ 283,300.00
Adjusting Entries
GENERAL JOURNAL
Date
PARTICULARS P.R. Debit
Balance ₱ 2,218.89
Requirement 2
GJ-1
Magpantay Cleaning S
Credit
GENERAL LEDGERS FOR
Account: Cash
₱ 62,000.00 Date Particular JR
1-Dec Investment of the owner
Dec-06 Purchase of service vehicle
Dec-07 Rent paid
₱ 21,400.00 9-Dec Service rendered
Dec-10 Advertising paid
Dec-12 Insurance paid
13-Dec Accounts paid
₱ 15,600.00 Dec-14 Miscellaneous Expenses paid
Dec-16 Salaries paid
Dec-20 Receivable collected
22-Dec Notes paid
₱ 10,000.00 Dec-25 telephone expenses paid
₱ 37,000.00 29-Dec Salaries paid
28-Dec Drawings of the owner
₱ 7,300.00
₱ 9,000.00
₱ 18,600.00
₱ 9,800.00
₱ 900.00
Account: Service Vehicle
Date Particular JR
Dec-06 Purchase of service vehicle
₱ 7,900.00
₱ 10,000.00
₱ 283,300.00
₱ 480.00
Service Revenue
Date Explanation JR
9-Dec Service rendered
15-Dec Service rendered on account
28-Dec Service rendered on account
No.
Debit (+) Credit (-) BALANCE
18,600.00 18,600.00
9,800.00 8,800.00
22,500.00 31,300.00
No.
Debit (+) Credit (-) BALANCE
21,400.00 21,400.00
No.
Debit (+) Credit (-) BALANCE
4,800.00 4,800.00
480.00 4,320.00
No.
Debit (+) Credit (-) BALANCE
15,600.00 15,600.00
No.
Debit (+) Credit (-) BALANCE
47,000.00 47,000.00
No.
Debit (-) Credit (+) BALANCE
62,000.00 62,000.00
No.
Debit (+) Credit (-) BALANCE
10,000.00 10,000.00
No.
Debit (-) Credit (+) BALANCE
31,800.00 31,800.00
18,600.00 50,400.00
22,500.00 72,900.00
No.
Debit (+) Credit (-) BALANCE
8,400.00 8,400.00
7,900.00 16,300.00
No.
Debit (+) Credit (-) BALANCE
7,300.00 7,300.00
No.
Debit (+) Credit (-) BALANCE
1,700.00 1,700.00
No.
Debit (+) Credit (-) BALANCE
900.00 900.00
No.
Debit (+) Credit (-) BALANCE
433.33 433.33
No.
Debit (+) Credit (-) BALANCE
1,305.56 1,305.56
No.
Debit (+) Credit (-) BALANCE
480.00 480.00
No.
Debit (+) Credit (-) BALANCE
2,200.00 2,200.00
Magpantay Cleaning Services
Worksheet
December 31, 2020
Service Revenue
Less: Operating Expenses
Salaries Expense
Rent Expense
Advertising Expense
Telephone Expense
Depreciation Expense-Cleaning Equipment
Depreciation Expense-Service Vehicle
Insurance Expense
Miscellaneous Expense
Net Profit
Initial Investment
Add: Net Profit
Total
Less; Drawings
Ending Capital
ASSETS
Current Assets
Cash
Accounts Receivable
Cleaning Supplies
Prepaid Insurance
Non-Current Assets
Cleaning Equipment 15,600.00
Accumulated Depreciation-Cleaning Equipment 361.11
Service Vehicle 47,000.00
Accumulated Depreciation-Service Vehicle 217.59
Total Assets
72,900.00
16,300.00
7,300.00
1,700.00
900.00
361.11
217.59
480.00
2,200.00 29,458.70
₱ 43,441.30
2020
62,000.00
43,441.30
105,441.30
10,000.00
₱ 95,441.30
e
n
39,000.00
31,300.00
21,400.00
4,320.00 96,020.00
15,238.89
46,782.41 62,021.30
158,041.30
28,000.00
34,600.00
62,600.00
95,441.30
158,041.30
e
S
AMOUNT
31,800.00
9,800.00
(9,000.00)
(7,300.00)
(1,700.00)
(4,800.00)
(2,200.00)
(16,300.00)
(900.00)
(600.00)
(12,400.00)
(12,400.00)
62,000.00
(10,000.00)
52,000.00
39,000.00
-
₱ 39,000.00