F. Inventory - 2023 Done
F. Inventory - 2023 Done
F. Inventory - 2023 Done
Financial Statemen
• All inventories included on the balance sheet are held by the entity or by others for the entity. P
• All inventories owned by the entity at the balance sheet date are included on the balance sheet. P
• Inventories are carried at the lower of cost or market value. The cost and market
determinations are appropriate, including adequate provisions for excess, slow-moving,
obsolete, and damaged goods, and for losses on purchase and sales commitments.
• The entity owns, or has a legal right to, all the inventories on the balance sheet. All inventories
are free of liens, pledges, or other security interests are identified.
• Inventories are properly classified, described, and disclosed in the financial statements,
including notes, in conformity with prescribed accounting principles.
Assertions:
Existence or Occurrence, Completeness, Rights and Obligations, Valuation or Measurement, Presentation and Disclosure
V 16. Perform a raw materials price test by selecting key items and,
if necessary, a representative sample using random
sampling. Vouch the cost to applicable vendor invoices (e.g.,
most recent invoices if the FIFO method is used).
29.
Form no. F1/WI-032-QSP-7.5.1 Issue date: December 1, 2007 Effective date: December 1, 2007 For the year: 2008 Rev. no. 0
Financial Statement Assertions
R&O V/M P&D
Auditor Sign-Off
Nature:
Tests were performed towards the Clients computation of Cost of Goods Sold to establish auditors' reliance towards
the computation. Other WPs shall be tied up with the amounts in these computation.
Sources:
Client's computation of Cost of Goods Sold.
Selection Method:
Entire asset under Inventories of the Client
Audit Procedures:
i Obtain a computation of Cost of Goods Sold from Client.
ii Tied up the amount of Cost of Goods Sold with the records.
iii Verified the mathematical accuracy of the inventory listings
Ending Inventory
Trade #REF!
Clearing and others #REF!
Non-trade
Allowance for Inventory Losses #REF!
#REF!
Legend of Tickmarks:
Inv-BIR Footed to filed Ending Inventory to BIR, amount does not include non-trade inventory
AFS-2021 Footed to previous year audited financial statements, matched with PY Trial Balance
Findings:
No material mistatement
Conclusion:
Account is fairly stated
Reference:
PM 12,500,000.00
TE 6,562,500.00 Reviewed by:
1/3 of TE 2,187,500.00 Reviewed on:
SAD 625,000.00
ECOMPUTATION (Outright)
reliance towards
AFS-2021
Squeeze method
Inv-BIR
Leadsched T,COS
Reviewed by:
Reviewed on:
Company Name: CW Marketing and Development Corporation
Engagement Period: December 31, 2023
Prepared by: Bernadette D. Orcine
Prepared on: April 8, 2024
Objective:
Completeness &
Cut-off To determine that inventory listings are accurately complied and inventory quantities include all items on h
Nature:
Test was designed to check whether all the inventories on transit was included in the list through checking the delivery receipts
Sources:
General Ledgers
Vouchers
Selection Method:
Random Transactions (See F2.1/F2.2)
Audit Procedures:
i Obtain general ledger for December 2022 and January 2023
ii Random selection of 40 purchases using randomizer org.
iii Verify the documents of the selected purchases.
iv Checked if the purchase was recorded on the right period.
v Investigate noted exceptions.
Timing of Recording:The Company records the inventory upon receipt of the goods.
Note:
Yes Recorded on proper period
Findings:
No material mistatement noted.
Conclusion:
Inventory were recorded on proper period.
PM
TE
1/3 of TE
SAD
CUT-OFF TEST OF INVENTORY
NOT UPDATED
gs are accurately complied and inventory quantities include all items on hand and in transit
ansit was included in the list through checking the delivery receipts
oper period.
12,500,000.00
6,562,500.00
2,187,500.00
625,000.00
ORY
Reviewed by:
Reviewed on:
Randomizer Posting Date Due Date Series Doc. No. Trans. No.
146 12/2/2022 12/2/2022 01REG PD 118700537 9004493
537 12/6/2022 12/6/2022 01REG PD 118700787 9011494
633 12/7/2022 12/7/2022 01REG PD 118700858 9014392
642 12/7/2022 12/7/2022 01REG PD 118700867 9014455
1285 12/13/2022 12/13/2022 01REG PD 118701243 9025372
1570 12/15/2022 12/15/2022 01REG PD 118701383 9028638
1584 12/15/2022 12/15/2022 01REG PD 118701413 9029350
2939 12/1/2022 12/1/2022 02REG PD 215148903 9002063
3003 12/2/2022 12/2/2022 02REG PD 215148921 9004458
3442 12/10/2022 12/10/2022 02REG PD 215149287 9019943
3449 12/10/2022 12/10/2022 02REG PD 215149307 9020070
5011 12/15/2022 12/15/2022 03REG PD 308062440 9029301
5695 12/6/2022 12/6/2022 05REG PD 512626521 9011511
5925 12/10/2022 12/10/2022 05REG PD 512626663 9019888
6198 12/15/2022 12/15/2022 05REG PD 512626844 9028507
7346 12/8/2022 12/8/2022 08REG PD 815121090 9016210
7348 12/8/2022 12/8/2022 08REG PD 815121092 9016213
7447 12/10/2022 12/10/2022 08REG PD 815121153 9019951
7780 12/16/2022 12/16/2022 08REG PD 815121419 9031368
9752 12/8/2022 12/8/2022 11REG PD 938042849 9016231
NOT UPDATED
Remarks Project Offset Acct
Goods Receipt PO - 117-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 140-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 128-001 211007-001-000-001
Goods Receipt PO - 117-002 211007-002-000-001
Goods Receipt PO - 117-002 211007-002-000-001
Goods Receipt PO - 183-002 211007-002-000-001
Goods Receipt PO - 183-002 211007-002-000-001
Goods Receipt PO - 117-003 211007-003-000-001
Goods Receipt PO - 183-005 211007-005-000-001
Goods Receipt PO - 154-005 211007-005-000-001
Goods Receipt PO - 117-005 211007-005-000-001
Goods Receipt PO - 290-008 211007-008-000-001
Goods Receipt PO - 290-008 211007-008-000-001
Goods Receipt PO - 183-008 211007-008-000-001
Goods Receipt PO - 154-008 211007-008-000-001
Goods Receipt PO - 154-011 211007-011-000-001
Offset Acct Name Deb./Cred. (LC)
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 271,446.29
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 276,882.14
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 277,210.71
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 351,221.21
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 711,736.61
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 377,350.00
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 301,065.25
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 274,607.14
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 383,806.74
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 254,857.14
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 254,582.14
Accounts Payable Clearing Account (PHD, HO, STANDARD ) 295,659.37
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 303,682.14
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 305,660.71
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 271,850.89
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 256,897.32
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 256,897.32
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 255,850.00
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 257,366.96
Accounts Payable Clearing Account (ICHD, HO, STANDARD) 293,482.14
Posting Date Due Date Series Doc. No. Trans. No.
1/10/2023 1/10/2023 01REG PD 118702209 9065958
1/17/2023 1/17/2023 01REG PD 118702617 9077110
1/19/2023 1/19/2023 01REG PD 118702750 9080640
1/20/2023 1/20/2023 01REG PD 118702832 9082578
1/20/2023 1/20/2023 01REG PD 118702835 9082598
1/26/2023 1/26/2023 01REG PD 118703245 9095845
1/20/2023 1/20/2023 02REG PD 215150555 9082465
1/20/2023 1/20/2023 02REG PD 215150559 9082491
1/23/2023 1/23/2023 02REG PD 215150688 9088269
1/17/2023 1/17/2023 03REG PD 308062765 9076758
1/4/2023 1/4/2023 05REG PD 512627257 9054173
1/19/2023 1/19/2023 05REG PD 512627671 9080702
1/19/2023 1/19/2023 05REG PD 512627733 9081065
1/4/2023 1/4/2023 08REG PD 815121789 9053914
1/21/2023 1/21/2023 08REG PD 815122586 9084439
1/21/2023 1/21/2023 08REG PD 815122592 9084587
1/21/2023 1/21/2023 08REG PD 815122605 9084749
1/24/2023 1/24/2023 08REG PD 815122716 9092088
1/20/2023 1/20/2023 11REG PD 938043589 9082802
1/23/2023 1/23/2023 11REG PD 938043661 9088445
Remarks Project Offset Acct
Goods Receipt PO - 186-001 211007-001-000-001
Goods Receipt PO - 140-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 128-001 211007-001-000-001
Goods Receipt PO - 183-001 211007-001-000-001
Goods Receipt PO - 183-002 211007-002-000-001
Goods Receipt PO - 183-002 211007-002-000-001
Goods Receipt PO - 182-002 211007-002-000-001
Goods Receipt PO - 290-003 211007-003-000-001
Goods Receipt PO - 182-005 211007-005-000-001
Goods Receipt PO - 183-005 211007-005-000-001
Goods Receipt PO - 183-005 211007-005-000-001
Goods Receipt PO - 182-008 211007-008-000-001
Goods Receipt PO - 183-008 211007-008-000-001
Goods Receipt PO - 183-008 211007-008-000-001
Goods Receipt PO - 183-008 211007-008-000-001
Goods Receipt PO - 150-008 211007-008-000-001
Goods Receipt PO - 183-011 211007-011-000-001
Goods Receipt PO - 183-011 211007-011-000-001
NOT UPDATED
Offset Acct Name Deb./Cred. (LC) Cumulative Balance (LC)
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 325,874.82 56024761.56
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 1,109,935.05 55771764.46
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 342,153.57 55545286.35
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 474,678.57 57199182.71
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 606,081.00 57853054.75
Accounts Payable Clearing Account (OHD, HO, STANDARD ) 294,732.14 56379878.97
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 544,592.86 40949634.11
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 377,103.57 41202675.18
Accounts Payable Clearing Account (BKHD, HO, STANDARD ) 325,600.00 41267704.67
Accounts Payable Clearing Account (PHD, HO, STANDARD ) 519,562.50 23490119.61
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 325,600.00 25440203.33
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 585,353.57 25681793.78
Accounts Payable Clearing Account (AHD, HO, STANDARD ) 329,892.86 26527571.3
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 325,600.00 26990597.23
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 361,878.57 29094122.74
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 426,071.43 29500916.98
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 373,485.71 29964639.38
Accounts Payable Clearing Account (CWHD, HO, STANDARD) 424,875.00 30101374.67
Accounts Payable Clearing Account (ICHD, HO, STANDARD) 491,205.36 24323119.52
Accounts Payable Clearing Account (ICHD, HO, STANDARD) 431,160.71 24689503.49
Blanket Agreement Seq. No. Ref. 1 (Row) Ref. 3 (Row) BA: Reference (Header)
118702209
118702617
118702750
118702832
118702835
118703245
215150555
215150559
215150688
308062765
512627257
512627671
512627733
815121789
815122586
815122592
815122605
815122716
938043589
938043661
Employees Advances Category (Row)
Company Name: CW Marketing and Development Corporation
Engagement Period: December 31, 2023 PM
Prepared by: Bernadette D. Orcine TE
Prepared on: April 8, 2024 1/3 of TE
SAD
Audited Balance CY
Trade Inventories 185,156,103.00
Non-Trade Inventories -
185,156,103.00
-0.20
Unadjusted Balance
Account Code Account Name December 2023 Ref
TOTAL 185,156,103.20
^
CHECKING -
Tickmarks:
WTB Traced to working trial balance. Nature of account :
Audited Balance PY
211,312,534.00
-
211,312,534.00
- 0.07
- 185,034,788.60 - 185,034,788.60
- - - -
- - - -
- 121,314.60 - 121,314.60
- 185,156,103.20 - 185,156,103.20
^ ^
- - - -
Trade inventories consist of various materials for construction or renovation of houses or other establishments like tiles,
paints, roofs and other home essentials.
Non-trade inventories consist of items used for their repairing and other services.
Reference: F
Reviewed by:
Reviewed on:
Audited Balance
December 2022 Ref Difference %Δ Notes Classification
Audited Balance CY
Trade Inventories 185,156,103.00
Non-Trade Inventories -
185,156,103.00
-0.20
Unadjusted Balance
Account Code Account Name December 2023 Ref
TOTAL 185,156,103.20
^
CHECKING -
Tickmarks:
WTB Traced to working trial balance. Nature of account :
Audited Balance PY
211,312,534.00
-
211,312,534.00
- 0.07
- 185,034,788.60 - 185,034,788.60
- - - -
- - - -
- 121,314.60 - 121,314.60
- 185,156,103.20 - 185,156,103.20
^ ^
- - - -
Trade inventories consist of various materials for construction or renovation of houses or other establishments like tiles,
paints, roofs and other home essentials.
Non-trade inventories consist of items used for their repairing and other services.
Reference: F
Reviewed by:
Reviewed on:
Audited Balance
December 2022 Ref Difference %Δ Notes Classification