Afin102 FT 4 2020 1
Afin102 FT 4 2020 1
Afin102 FT 4 2020 1
Cash/Bank A/C
Date Detail DR Date Detail CR
1-Jan Unearned Revenue
250,000 1-Jan Prepaid Rent 120,000
31-Mar Balance c/d 130,000
250,000 250,000
1-Apr Balance b/d 130,000
BIMBE
Trial Balance Extract As At 31st March, 2019
DR CR
Cash/Bank 130,000
Ticket Sales 150,000
Rent Expenses 30,000
Prepaid Rent 90,000
Unearned Revenue 100,000
250,000 250,000
Current Assets
Prepaid Rent 90,000
Cash/Bank 130,000
220,000
Capital
Balance as at 01 Jan -
Add Net Profit 120,000 (Ticket Sales - Rent Expense)
120,000
Less Drawings 0
Shareholder's Funds 120,000