Aqueduct - 2018-fs - For Discussion and Adjustent
Aqueduct - 2018-fs - For Discussion and Adjustent
Aqueduct - 2018-fs - For Discussion and Adjustent
Adoremus, cpa's
'December 31
2018 2017
ASSETS
CURRENT ASSETS
Cash (Notes 4 and 11) P 2,359,106 P 2,814,698
Prepaid items (Note 5) 192,440 84,038
Total Current Assets 2,551,546 2,898,736
P 9,382,469 P 9,208,370
CURRENT LIABILITIES
Customers' deposit P 7,800 P 7,800
Advances from officers (Notes 8 and 11) 824,377 616,635
Total Current Liabilities 832,177 624,435
P 9,382,469 P 9,208,370
0 0
advances to officers
teresita agbayani 489,026
diokno pascua
fund transfer
489,026
accounts payable
miscellaneous
2014 data
cash balances
093-3-01127603-2
001-0093-0000-7002039547
bsrb
prepaid items
2307 prior
others
2307 balance
12/31/2013
additiona 2014
composition of cash
093-3-01127603-2
7002039547
01-000-0042
Adjustment
prepaid
prepaid income tax
other
beinning
2307 during 2012
less mcit
customers deposit
billion food sales corpo
mary jane bito
shekinah school
2008 data
cash
bank balance savings
current
pbcom
sual
2
Restituto R. Adoremus, cpa's
2017 data
payment
3
Restituto R. Adoremus, cpa's
q1
q2
q3
prior years credit 84,038.00 55,268.00
2307 5,100.00
application of MCIT/NOLCO 118,465.60 -
1606 280,440.00
202,503.60 340,808.00
2014 data
normal
mcit
due
pyment
q1
q2
q3
2307
still due
2018 2017
Net income (loss) P (33,643) P 484,518
Number of shares 30,000 30,000
Earnings (Loss) per share P (1.12) P 16.15
3
Restituto R. Adoremus, cpa's
normal
mcit
pyment
q1
q2
q3
2307
still due
prior
reconstruct prepaid
BEGINNING
ADDITIAONL 2307
APPLIED TO MCIT
3
Restituto R. Adoremus, cpa's
normal
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
due
payments
q1
q2
q3
2307 2012
still due
3
Restituto R. Adoremus, cpa's
normal
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
still due
payments
q1
q2
q3
2307
prior year
still due
3
Restituto R. Adoremus, cpa's
mcit
basis
Net sales
Sale of investment
Income from rent
mcit
3
Restituto R. Adoremus, cpa's
Type
Commission
Service
Sales
mcit
basis
Net sales
Sale of investment
Income from rent
Cost of sales
Office supplies
depreciation
3
Restituto R. Adoremus, cpa's
computatio of mcit
reveneu
cost
professional
depreciaton
mcit
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
RETAINED EARNINGS
Balance at beginning of year 83,935 (400,582)
Net income (loss) during the year (33,643) 484,517
Balance at end of year 50,292 83,935
P 8,550,292 P 8,583,935
Disclosure
2017 2017
Subscribed:
Balance at beginning of year - -
Fully paid subscription - -
Subscriptions during the year - -
Balance at end of year - -
30,000 30,000
4
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
ASSETS
#NAME? #NAME? #NAME? #NAME? #NAME? 35,918.15
CURRENT ASSETS
Cash (Notes 4 and 10) 2,359,106.00 2,814,698.00 40,038.00 28,303 P 48,723.72 P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 365,359 P 134,163.56 P 897,598.34 P 69,642.07 P #NAME? P #NAME? P 118,362.36 P 70,674.92 P 616,680.08 P 134,452.59
Short-term investment
Accounts receivable (Noted 5 and 15) #NAME? - #NAME? #NAME? #NAME? #NAME? -
Inventories (Note 5) #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Land and estimated improvement for sale (Note 5) #NAME? #NAME? 8,238,379
Investment in shares (Notes 5 and 12) - 740,000 #NAME? #NAME?
Prepaid items #NAME? #NAME? #NAME? 63,788 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 84,112 132,897.39 122,612.50 #NAME? #NAME? #NAME? #NAME? 192,771.30 174,912.09 159,899.63
Total Current Assets #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? Err:522 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 263,446.22 791,592.17 294,352.22
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P Err:522 P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 12,160,123.49 P 19,071,064.46 P 13,475,807.91
CURRENT LIABILITIES
Accounts payable and accrued expenses
(Notes 8 and 12) P P - P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 411,634 P 1,122,903.17 P 1,053,741.10 P 817,190.28 P #NAME? P 1,028,560.63 P 927,151.66 P 781,976.75 P 644,621.88 P 265,456.49
Income tax payable (Notes 10 and 12) - - ( 0) ( 0) #NAME? #NAME? #NAME? #NAME? 0 ( 0.00) ( 0.00) -
Customers' deposit (Note 10) #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? - 14,400.00 14,400.00 60,000.00
Advances from officers (Notes 7 and 10) 824,377 616,635.00 1,090,033.00 #NAME? 1,427,393.00 1,577,014 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 9,900,000 10,268,405.21 10,263,405.21 9,868,129.85 #NAME? #NAME? 9,200,000.00 9,200,000.00 9,200,000.00 10,000,000.00
Loans payable - - - - - - - - 6,850,000.00 900,000.00
Total Current Liabilities #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 10,311,634 11,405,708.38 11,331,546.31 10,745,320.13 #NAME? #NAME? 10,127,151.66 9,981,976.75 16,694,621.89 11,165,456.49
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 12,160,123.49 P 19,071,064.46 P 13,475,807.91
951,493
See accompanying Notes to Financial Statements
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? ( 0.00) 0.00 0.00
advances to officers
teresita agbayani 489,026 30,000 30,000
diokno pascua 900 900
fund transfer 412,000 #NAME?
489,026 442,900 #NAME?
2014 data
amount interest 2014
cash balances
093-3-01127603-2 20236.83 27.09
001-0093-0000-7002039547 12124.52
bsrb 16362.37 165.46
48723.72 192.55
prepaid items
2307 prior 61843.79
others #NAME?
#NAME?
2307 balance
12/31/2013 61843.79
additiona 2014 17400
79243.79
composition of cash
093-3-01127603-2 10,215.16 14,443.83
7002039547 13,221.86 26,091.98
01-000-0042 8,926.78 30,471.99
8,926.78 53,909.01
Adjustment #NAME?
prepaid
prepaid income tax #NAME?
other #NAME?
#NAME?
beinning #NAME?
2307 during 2012 17,400.00
less mcit (8,880.00)
#NAME?
#NAME?
#NAME?
customers deposit
billion food sales corpo 1,800.00 1,800.00 1,800.00
mary jane bito 6,000.00 6,000.00 6,000.00
shekinah school 1,100,000.00 1,100,000.00 1,100,000.00
1,107,800.00 1,107,800.00 1,107,800.00
2008 data
cash
bank balance savings 126246.15 126246.15 126246.15 126246.15 126246.15
current 13937.66 13937.66 13937.66 13937.66 13937.66
pbcom 26645.15 26645.15 26645.15 26645.15 26645.15
sual 3452.65 3452.65 3452.65 3452.65 3452.65
170281.61 170281.61 170281.61 170281.61 170281.61
2
Restituto R. Adoremus, cpa's
2017 data
3
Restituto R. Adoremus, cpa's
payment
q1
q2
q3
prior years credit #NAME? #NAME?
2307 5,100.00
application of MCIT/NOLCO #NAME? -
1606 280,440.00
#NAME? #NAME?
2014 data
normal
mcit
due
pyment
q1
q2
q3
2307
still due
2018 2017
Net income (loss) P #NAME? P 484,518 P
Number of shares 30,000 30,000
Earnings (Loss) per share P #NAME? P 16.15 P
3
Restituto R. Adoremus, cpa's
normal
mcit
pyment
q1
q2
q3
2307
still due
prior
reconstruct prepaid
BEGINNING
ADDITIAONL 2307
APPLIED TO MCIT
normal
3
Restituto R. Adoremus, cpa's
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
due
payments
q1
q2
q3
2307 2012
still due
normal
3
Restituto R. Adoremus, cpa's
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
still due
payments
q1
q2
q3
2307
prior year
still due
3
Restituto R. Adoremus, cpa's
mcit
basis
Net sales
Sale of investment
Income from rent
mcit
Type
Commission
3
Restituto R. Adoremus, cpa's
Service
Sales
mcit
basis
Net sales
Sale of investment
Income from rent
Cost of sales
Office supplies
depreciation
computatio of mcit
reveneu
cost
professional
depreciaton
mcit
3
Restituto R. Adoremus, cpa's
P P P
28,303.65 105.89 - -
28,303.65 105.89 - -
#NAME?
3
Restituto R. Adoremus, cpa's
63,788.00 #NAME?
- -
-
63,788.00 #NAME?
#NAME? #NAME?
#NAME?
7,968
#NAME?
63,778.00
79,244
79,244
#NAME?
2016
-223,049
30,000
-7.43
3
Restituto R. Adoremus, cpa's
#NAME? #NAME?
nil
7,968 8,880
-
-
-
17,400 17,400
(9,432) (8,520)
- #NAME?
(9,432) #NAME?
#NAME? #NAME?
17,400
(8,880)
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
444,000 476,885.00
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
51,078 -
44,214 -
41,602 -
-
4,350.00
4,350.00
4,350.00
4,350.00
17,400.00
#NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
476,885 #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
- -
banco sual 17,400.00
- 17,400.00
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
#REF! #REF!
- #NAME?
476,885 #NAME?
#REF! #REF!
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
16,039 16,038.68
16,632 16,631.80
60,885 60,885.00
Amount Amount
3
Restituto R. Adoremus, cpa's
476,885 #NAME?
#REF! #REF!
#REF! #NAME?
#NAME? #NAME?
totally allowable totally allowable
#REF! #REF!
- #NAME?
476,885 #NAME?
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
476,885 #NAME?
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
P #NAME? P P P 60,885 P
#NAME?
476,885 #NAME? 446,800 #NAME? #NAME?
476,885 #NAME? 446,800 #NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME?
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
OTHERS
#NAME?
#NAME?
3
Restituto R. Adoremus, cpa's
variant
#NAME?
scheduel of 2307
banco sual 17,400.00
3
Restituto R. Adoremus, cpa's
- -
- -
446,800.00 #NAME?
446,800.00 #NAME?
- -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
- - 60,885.00
- - #NAME?
446,800.00 #NAME? #NAME?
- - #NAME?
#NAME? #NAME? #NAME?
#NAME? #NAME? #NAME?
- - #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
3
Restituto R. Adoremus, cpa's
#NAME?### #NAME?###
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
taxable representation
#NAME?
3
Restituto R. Adoremus, cpa's
#NAME?
#NAME?
#NAME?
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
- -
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
Subscribed:
Balance at beginning of year - - - - - - - - - - - - - -
Fully paid subscription 741,100
Subscriptions during the year 741,100 -
Balance at end of year - - - - - - - - - - - - - -
3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 2,258,900
RETAINED EARNINGS
Balance at beginning of year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Derecognition of deferred income tax assets (82,756)
Impairment of inventory (18,894)
Net income (loss) during the year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Balance at end of year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Disclosure
Number of Shares
2017 2017 2016 2015 2,008 2008 2008 2008 2008 2007 2006 2005
Subscribed:
Balance at beginning of year - - - - - - - - - - - -
Fully paid subscription - - - - - - - - - - 7,411 -
Subscriptions during the year - - - - - - - - - - 7,411 -
Balance at end of year - - - - - - - - - - - -
30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 22,589
4
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
#NAME? #NAME?
5
Restituto R. Adoremus, cpa's
- - - -
- - - -
- - - -
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
- - - #NAME?
- - - -
5
Restituto R. Adoremus, cpa's
- - - -
- - - -
- - - -
- - - -
5
Restituto R. Adoremus, cpa's
- - - -
#NAME? #NAME? #NAME? #NAME?
- - - -
#NAME?
5
Restituto R. Adoremus, cpa's
- - - 82,756
#NAME?
- - - 18,894
Err:509 Err:509 Err:509
#NAME? #NAME?
3,500,000 - - -
3,500,000 - - -
5
Restituto R. Adoremus, cpa's
2008 2007
#NAME? P #NAME?
#NAME? #NAME?
( 671,778) -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? -
#NAME? #NAME?
#NAME? #NAME?
671,778
#NAME? #NAME?
#NAME?
#NAME?
5
Restituto R. Adoremus, cpa's
- #NAME?
2,000,000
2,000,000 -
#NAME? #NAME?
#NAME? #NAME?
#NAME? P #NAME?
#NAME? #NAME?
5
Restituto R. Adoremus, cpa's
ASSETS 2018
#NAME? #NAME? #NAME? #NAME? #NAME? 35,918.15
CURRENT ASSETS
Cash (Notes 4 and 10) 2,359,105.00 2,814,698 40,038 28,303 P 48,723.72 P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 365,359 P 134,163.56 P 897,598.34 P 69,642.07 P #NAME? P #NAME? P 118,362.36 P 70,674.92 P 616,680.08 P 134,452.59
Short-term investment
Accounts receivable (Noted 5 and 15) #NAME? - #NAME? #NAME? #NAME? #NAME? -
Inventories (Note 5) #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Land and estimated improvement for sale (Note 5) #NAME? #NAME? 8,238,379
Investment in shares (Notes 5 and 12) - 740,000 #NAME? #NAME?
Prepaid items #NAME? #NAME? #NAME? 63,788 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 84,112 132,897.39 122,612.50 #NAME? #NAME? #NAME? #NAME? 192,771.30 174,912.09 159,899.63
Total Current Assets #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? Err:522 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 263,446.22 791,592.17 294,352.22
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P Err:522 P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 12,160,123.49 P 19,071,064.46 P 13,475,807.91
CURRENT LIABILITIES
Accounts payable and accrued expenses
(Notes 8 and 12) P P - P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 411,634 P 1,122,903.17 P 1,053,741.10 P 817,190.28 P #NAME? P 1,028,560.63 P 927,151.66 P 781,976.75 P 644,621.88 P 265,456.49
Income tax payable (Notes 10 and 12) - - ( 0) ( 0) #NAME? #NAME? #NAME? #NAME? 0 ( 0.00) ( 0.00) -
Customers' deposit (Note 10) #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? - 14,400.00 14,400.00 60,000.00
Advances from officers (Notes 7 and 10) 824,377 616,635 1,090,033 #NAME? 1,427,393.00 1,577,014 #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 9,900,000 10,268,405.21 10,263,405.21 9,868,129.85 #NAME? #NAME? 9,200,000.00 9,200,000.00 9,200,000.00 10,000,000.00
Loans payable - - - - - - - - 6,850,000.00 900,000.00
Total Current Liabilities #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? 10,311,634 11,405,708.38 11,331,546.31 10,745,320.13 #NAME? #NAME? 10,127,151.66 9,981,976.75 16,694,621.89 11,165,456.49
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P 12,160,123.49 P 19,071,064.46 P 13,475,807.91
951,493
See accompanying Notes to Financial Statements
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? ( 0.00) 0.00 0.00
advances to officers
teresita agbayani 489,026 30,000 30,000
diokno pascua 900 900
fund transfer 412,000 #NAME?
489,026 442,900 #NAME?
2014 data
amount interest 2014
cash balances
093-3-01127603-2 20236.83 27.09
001-0093-0000-7002039547 12124.52
bsrb 16362.37 165.46
48723.72 192.55
prepaid items
2307 prior 61843.79
others #NAME?
#NAME?
2307 balance
12/31/2013 61843.79
additiona 2014 17400
79243.79
composition of cash
093-3-01127603-2 10,215.16 14,443.83
7002039547 13,221.86 26,091.98
01-000-0042 8,926.78 30,471.99
8,926.78 53,909.01
Adjustment #NAME?
prepaid
prepaid income tax #NAME?
other #NAME?
#NAME?
beinning #NAME?
2307 during 2012 17,400.00
less mcit (8,880.00)
#NAME?
#NAME?
#NAME?
customers deposit
billion food sales corpo 1,800.00 1,800.00 1,800.00
mary jane bito 6,000.00 6,000.00 6,000.00
shekinah school 1,100,000.00 1,100,000.00 1,100,000.00
1,107,800.00 1,107,800.00 1,107,800.00
2008 data
cash
bank balance savings 126246.15 126246.15 126246.15 126246.15 126246.15
current 13937.66 13937.66 13937.66 13937.66 13937.66
pbcom 26645.15 26645.15 26645.15 26645.15 26645.15
sual 3452.65 3452.65 3452.65 3452.65 3452.65
170281.61 170281.61 170281.61 170281.61 170281.61
2
Restituto R. Adoremus, cpa's
2017 data
3
Restituto R. Adoremus, cpa's
payment
q1
q2
q3
prior years credit #NAME? #NAME?
2307 5,100.00
application of MCIT/NOLCO -
1606 118,465.12 280,440.00
#NAME? #NAME?
2014 data
normal
mcit
due
pyment
q1
q2
q3
2307
still due
2018 2017
Net income (loss) P #NAME? P 484,518 P
Number of shares 30,000 30,000
Earnings (Loss) per share P #NAME? P 16.15 P
3
Restituto R. Adoremus, cpa's
normal
mcit
pyment
q1
q2
q3
2307
still due
prior
reconstruct prepaid
BEGINNING
ADDITIAONL 2307
APPLIED TO MCIT
normal
3
Restituto R. Adoremus, cpa's
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
due
payments
q1
q2
q3
2307 2012
still due
normal
3
Restituto R. Adoremus, cpa's
mcit
gross
deduction
salary
empl benefit
supplies
professional fee
depreciation
basis
2% mcit
still due
payments
q1
q2
q3
2307
prior year
still due
3
Restituto R. Adoremus, cpa's
mcit
basis
Net sales
Sale of investment
Income from rent
mcit
Type
Commission
3
Restituto R. Adoremus, cpa's
Service
Sales
mcit
basis
Net sales
Sale of investment
Income from rent
Cost of sales
Office supplies
depreciation
computatio of mcit
reveneu
cost
professional
depreciaton
mcit
3
Restituto R. Adoremus, cpa's
P P P
28,303.65 105.89 - -
28,303.65 105.89 - -
#NAME?
3
Restituto R. Adoremus, cpa's
63,788.00 #NAME?
- -
-
63,788.00 #NAME?
#NAME? #NAME?
#NAME?
7,968
#NAME?
63,778.00
79,244
79,244
#NAME?
2016
-223,049
30,000
-7.43
3
Restituto R. Adoremus, cpa's
#NAME? #NAME?
nil
7,968 8,880
-
-
-
17,400 17,400
(9,432) (8,520)
- #NAME?
(9,432) #NAME?
#NAME? #NAME?
17,400
(8,880)
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
444,000 476,885.00
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
51,078 -
44,214 -
41,602 -
-
4,350.00
4,350.00
4,350.00
4,350.00
17,400.00
#NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
476,885 #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
- -
banco sual 17,400.00
- 17,400.00
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
#REF! #REF!
- #NAME?
476,885 #NAME?
#REF! #REF!
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
16,039 16,038.68
16,632 16,631.80
60,885 60,885.00
Amount Amount
3
Restituto R. Adoremus, cpa's
476,885 #NAME?
#REF! #REF!
#REF! #NAME?
#NAME? #NAME?
totally allowable totally allowable
#REF! #REF!
- #NAME?
476,885 #NAME?
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
476,885 #NAME?
- #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
P #NAME? P P P 60,885 P
#NAME?
476,885 #NAME? 446,800 #NAME? #NAME?
476,885 #NAME? 446,800 #NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME?
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
OTHERS
#NAME?
#NAME?
3
Restituto R. Adoremus, cpa's
variant
#NAME?
scheduel of 2307
banco sual 17,400.00
3
Restituto R. Adoremus, cpa's
- -
- -
446,800.00 #NAME?
446,800.00 #NAME?
- -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
3
Restituto R. Adoremus, cpa's
- - 60,885.00
- - #NAME?
446,800.00 #NAME? #NAME?
- - #NAME?
#NAME? #NAME? #NAME?
#NAME? #NAME? #NAME?
- - #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
3
Restituto R. Adoremus, cpa's
#NAME?### #NAME?###
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
taxable representation
#NAME?
3
Restituto R. Adoremus, cpa's
#NAME?
#NAME?
#NAME?
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
- -
3
Restituto R. Adoremus, cpa's
3
Restituto R. Adoremus, cpa's
Subscribed:
Balance at beginning of year - - - - - - - - - - - - - -
Fully paid subscription 741,100
Subscriptions during the year 741,100 -
Balance at end of year - - - - - - - - - - - - - -
3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 2,258,900
RETAINED EARNINGS
Balance at beginning of year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Derecognition of deferred income tax assets (82,756)
Impairment of inventory (18,894)
Net income (loss) during the year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
Balance at end of year #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Disclosure
Number of Shares
2017 2017 2016 2015 2,008 2008 2008 2008 2008 2007 2006 2005
Subscribed:
Balance at beginning of year - - - - - - - - - - - -
Fully paid subscription - - - - - - - - - - 7,411 -
Subscriptions during the year - - - - - - - - - - 7,411 -
Balance at end of year - - - - - - - - - - - -
30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 30,000 22,589
4
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
#NAME? #NAME?
5
Restituto R. Adoremus, cpa's
- - - -
- - - -
- - - -
#NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
- - - #NAME?
- - - -
5
Restituto R. Adoremus, cpa's
- - - -
- - - -
- - - -
- - - -
5
Restituto R. Adoremus, cpa's
- - - -
#NAME? #NAME? #NAME? #NAME?
- - - -
#NAME?
5
Restituto R. Adoremus, cpa's
- - - 82,756
#NAME?
- - - 18,894
Err:509 Err:509 Err:509
#NAME? #NAME?
3,500,000 - - -
3,500,000 - - -
5
Restituto R. Adoremus, cpa's
2008 2007
#NAME? P #NAME?
#NAME? #NAME?
( 671,778) -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? -
#NAME? #NAME?
#NAME? #NAME?
671,778
#NAME? #NAME?
#NAME?
#NAME?
5
Restituto R. Adoremus, cpa's
- #NAME?
2,000,000
2,000,000 -
#NAME? #NAME?
#NAME? #NAME?
#NAME? P #NAME?
#NAME? #NAME?
5
Schedule of VAT Transactions 2018
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non CapitalCapital Non CapitaServices qualified f others Total purch
Jan - - -
Feb - - -
Mar 108,000.00 108,000.00 12,960.00 -
Apr - - -
May - - -
Jun 108,000.00 108,000.00 12,960.00 -
Jul - - -
Aug - - -
Sep 108,000.00 108,000.00 12,960.00 -
Oct - - -
Nov - - -
Dec 121,000.00 121,000.00 14,520.00 -
- 4,920.00 4,920.00
- 4,920.00 9,840.00
- 4,440.00 1,320.00
- 4,440.00 5,760.00
- 4,440.00 10,200.00
- 4,440.00 1,680.00
- 4,440.00 ( 6,840.00)
- 4,440.00 ( 2,400.00)
- 4,440.00 ( 10,920.00)
- 4,080.00 ( 6,840.00)
- 4,320.00 ( 2,520.00)
- 4,320.00 ( 12,720.00)
- 53,640.00 240.00
- 53,640.00
2018 2017
Taxes and licenses P 103,718 P 111,907
Travel and transportation 59,942 75,865
Professional fees 52,800 41,000
Salaries and wages 50,000 60,000
Dues and subscriptions 42,195 30,396
Depreciation 30,000 30,000
Light and water 25,000 25,287
Representation 24,692 23,505
Postage, telephone and telegram 10,450 15,320
Repairs and maintenance 9,014 37,314
Gas and oil 6,600 15,428
Insurance 6,184 33,253
Employees benefits 5,500 2,500
Office supplies 2,583 54,007
Bank charges - 450
Donation - 5,000
Promotion and marketing - 15,642
Miscellaneous 22,586 28,263
Total Expenses P 451,265 P 605,137
2017
ALAMINOS
OPERATING EXPENSES
Salaries and wages
Repairs and maintenance 19,037.75
Taxes and licenses 280,138.34
Professional fees
Dues and subscriptions
Insurance 5,621.26
Light and water 1,095.27
Gas and oil 750.00
Employees benefits
Real Property tax
Fund Transfer 3,013,000.00
Bank charges 650.00
Representation
Commission
Brokers' fees
Travel and transportation 2,617.46
Marketing expense 5,000.00
Depreciation
Postage, telephone and telegram
Office supplies
SSS and medicare contribution
Donation 1,000.00
Outside Services
Miscellaneous 4,018.94
Total Expenses 3,332,929.02
Advances (489,026.37)
2016
ALAMINOS
OPERATING EXPENSES
Salaries and wages
Repairs and maintenance 400.00
Taxes and licenses 9,790.00
Professional fees
Dues and subscriptions
Insurance 5,621.94
Light and water 3,358.84
Gas and oil
Employees benefits 5,000.00
Real Property tax 11,870.20
Fund Transfer 345,000.00
Bank charges 300.00
Representation
Commission
Brokers' fees
Travel and transportation
Depreciation
Postage, telephone and telegram 180.00
Office supplies
SSS and medicare contribution
Outside Services
Miscellaneous 700.00
Total Expenses 382,220.98
#REF!
#REF!
AFADECO
Schedule of check not yet disbursed
Check no.
12493
12494
12495
12505
12507
12513
12514
12523
12527
12532
12533
12534
12536
12541
12547
12548
12551
12552
12556
12559
12560
12561
12569
12576
12581
12585
12587
12588
12590
TOTAL
details of allowable representation expense
Type Amount
Commission
Service #REF!
Sales #REF!
#REF!
2017
ALAMINOS QC Total Real Property Taxes
OPERATING EXPENSES BIR reg
Salaries and wages 60,000.00 60,000 wtax
Repairs and maintenance 19,037.75 37,296.15 56,334 bus. Permit
Taxes and licenses 280,138.34 38,836.37 318,975 others
Professional fees 51,000.00 51,000
Dues and subscriptions -
Insurance 5,621.26 13,810.30 19,432 Vat
Light and water 1,095.27 24,000.00 25,095
Gas and oil 750.00 8,820.00 9,570
Employees benefits 5,000.00 5,000
Real Property tax -
Fund Transfer 3,013,000.00 3,013,000
Bank charges 650.00 650
Representation -
Commission -
Brokers' fees -
Travel and transportation 2,617.46 42,000.00 44,617
Marketing expense 5,000.00 5,000
Depreciation -
Postage, telephone and telegram 12,000.00 12,000
Office supplies 5,153.25 5,153
SSS and medicare contribution - voucher payable
Donation 1,000.00 4,000.00 5,000
Outside Services - fund transfer
Miscellaneous 4,018.94 59,407.64 63,427 depreciation
Total Expenses 3,332,929.02 361,323.71 3,694,252.73 miscellaneous
Advances (489,026.37) (54,240.00)
2016
ALAMINOS QC Total real property taxes
OPERATING EXPENSES BIR reg
Salaries and wages - wtax
Repairs and maintenance 400.00 489.50 890 bus. Permit
Taxes and licenses 9,790.00 97,632.23 107,422 others
Professional fees 46,000.00 46,000
Dues and subscriptions 42,194.64 42,195
Insurance 5,621.94 5,622
Light and water 3,358.84 24,000.00 27,359
Gas and oil 3,454.93 3,455
Employees benefits 5,000.00 2,000.00 7,000
Real Property tax 11,870.20 22,893.88 34,764
Fund Transfer 345,000.00 345,000
Bank charges 300.00 300
Representation -
Commission -
Brokers' fees -
Travel and transportation 5,365.50 5,366
Depreciation -
Postage, telephone and telegram 180.00 5,500.00 5,680
Office supplies 2,581.00 2,581
SSS and medicare contribution - voucher payable
Outside Services 8,500.00 8,500 fund transfer
Miscellaneous 700.00 113,566.30 114,266 depreciation
Total Expenses 382,220.98 374,177.98 756,398.96 miscellaneous
-
9,468 11,815 3,697 2,323 4,487 4,872
8972240
280,138.34 38,836.37
#REF!
54,240.00
#REF!
756,398.96
345,000.00
#NAME?
#NAME?
#NAME?
#NAME?
CO-ALAMINOS QC SUMMARY OF DISBURSEMENTS alaminos qc
2013 2013 total 2014
TING EXPENSES
cash -
Amount Amount Amount Apportionement Maximum % ceiling taxable representation
#DIV/0! - #DIV/0!
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
-
7,733 5,423.00 2,621.75
64,449.94
70,658.51
44,000.00
42,194.64
6,858.00
28,859.03
3,300.00
-
-
472,000.00
150.00
-
-
-
3,429.00
-
6,000.00
1,473.25
-
22,578.33
765,950.70
property and equpment
2018
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - - - 824,377
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? - - #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? - - #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2015
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? - - #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? - - #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2013
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions 350,000 - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2012
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2011
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - #NAME?
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2010
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? 16,384 #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2009
Transportation
Building Equipment Miscellaneous
Cost
At beginning of year P #NAME? #NAME? P #NAME?
Additions - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2008
Transportation
Building Equipment Miscellaneous
Cost
At beginning of year P #NAME? #NAME? P #NAME?
Additions - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
investment property
2018
Land Building Total
Cost
At beginning of year P #NAME? #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
2016
Land Building Total
Cost
At beginning of year P #NAME? #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year - #NAME? #NAME?
Depreciation and amortization - #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year - #NAME? #NAME?
2014
investment property
2012
2011
2010
2009
2008
Financial Liabilities
Financial liabilities carried at amortized costs:
Customers' deposit P #NAME? #NAME? P #NAME? P #NAME? P P
Due to related parties 824,377 824,377 616,635 616,635 -
P #NAME? #NAME? P #NAME? P #NAME? - P
dcf = cf / (1+r1)
rate 6.51% 5.52% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
2013
Construction in
Accumulat Building Progress Total
ed
Cost
Depreciati
At beginnin P #NAME? P #NAME? P #NAME?
on,
Additions 350,000 (350,000) -
Amortizati
At end of year #NAME? #NAME? #NAME?
on and
Impairmen
t Loss
At beginning of year #NAME? - #NAME?
Depreciation and amorti #NAME? - #NAME?
At end of year #NAME? #NAME?
111,816 P 111,816
-
1,446,632 P 1,446,632
9,846,433 9,846,433
9,846,433 P 9,846,433
Net Sales Output VAT
Taxable Sales
Sale of services 445,000 53,400
445,000 53,400
Zero-rated sales
Exempt sales
445,000 53,400
-
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2017
Taxable income #NAME?
Taxable #NAME?
Rate 0.30
#NAME?
or
MCIT
Gross profit 447,000.00
Rate 0.02
8,940.00
Future Years
2016 2017 2018 2019
Future
taxable
(Deductible) Tax Deferred tax
Temporary Diferrence Amounts Rate (Assets) Liablities
Installment sales
MCIT (8,520.00) 100% (8,520.00)
NOLCO #NAME? 30% #NAME?
Depreciation
Warranty costs
Totals #NAME? #NAME? -
JOURNAL ENTRY
income tax expense #NAME? #NAME?
deferred tax asset #NAME?
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (Assets) Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2018 2017
Deferred tax assets on
MCIT P 8,520 P 16,008
NOLCO #NAME? 65,278
#NAME? 81,286
reconciliation
2010 2010
Provision (benefit from) for income tax at statutory tax rates P P (75,628)
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 24,336 3,693
Movements in temporary differences 79,321 (3,693)
#NAME? (75,627.84)
#NAME? 0.00
template for reconciliation
base rate
Income from operation (13,770) #NAME? 0.30
other income charges
interest income - 0.20
bank charges - 0.30
changes in temporary
expired nolco movement
expired mcit movement
presentation
2018 2017
Provision (benefit from) for income tax at statutory tax rates P #NAME? P (47,441)
Adjustments resulting from:
Net operating loss carry over (NOLCO) #NAME? 47,441
Movements in temporary differences #NAME? 371,384
#NAME?
2020 2021 Total
-
- 8,520.00
- - #NAME?
-
-
- - #NAME?
#NAME?
#NAME?
Classification
Current
Non current
Current
2015 2014 2,009.00
P 24,336 41,144 -
271,122 P #NAME? -
295,458 #NAME? -
P 295,458 #NAME? -
2,009.00
P (82,756.24)
3,789.79
-
P (78,966.45)
#NAME?
-
-
-
-
#NAME?
-
-
#NAME?
-
-
-
#NAME?
#NAME?
2015 2014
P #NAME? P #NAME?
#NAME? #NAME?
#NAME? #NAME?
P #NAME? P #NAME?
MCIT
actual nolco
Year Applied Applied NOLCO Expiry
Incurred Amount Previous year Current year Expired Unapplied Year
2013 #NAME? #NAME? #NAME? 2016
2014 #NAME? 84,532 #NAME? 2017
2015 #NAME? 155,603 #NAME? 2018
2016 #NAME? #NAME? 2019
2017 - 2020
2018 - - 2021
#NAME? - - #NAME? #NAME?
- 4,920.00 -
- 4,920.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,440.00 4,920.00
- 4,080.00 4,920.00
- 4,320.00 4,920.00
- 4,320.00 4,920.00
- 53,640.00 -
- 53,640.00
property and equpment
2017
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P #NAME?
Additions - - - - -
Disposal/retirement - - - - -
At end of year #NAME? #NAME? #NAME? - #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? - - - #NAME?
Disposals/retirement - - - - -
Impairment Loss - - - - -
At end of year #NAME? #NAME? #NAME? - #NAME?
2016
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? - #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? - - - #NAME?
Disposals/retirement - - - - -
Impairment Loss - - - - -
At end of year #NAME? #NAME? #NAME? - #NAME?
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? - - #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2013
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions 350,000 - (350,000) -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2012
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2011
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P #NAME?
Additions - #NAME? #NAME?
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2010
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? 16,384 #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
investment property
2017
Land Building Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME?
Additions - - - Entry:
Disposal/retirement (2,500,000) - (2,500,000) Cash 3,474,000
At end of year #NAME? #NAME? #NAME? Land
Gain or Lo
Accumulated Depreciation, Amortization and Impairment Loss
At beginning of year - #NAME? #NAME?
Depreciation and amortization - #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year - #NAME? #NAME?
2016
Land Building Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and Impairment
Loss
At beginning of year - #NAME? #NAME?
Depreciation and amortization - #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year - #NAME? #NAME?
2014
investment property
2012
2011
2010
2009
2008
Financial Liabilities
Financial liabilities carried at amortized costs:
Customers' deposit P #NAME? #NAME? P #NAME? #NAME? P #REF!
Due to related parties 616,635 616,635 1,090,033 1,090,033 #NAME?
P #NAME? #NAME? P #NAME? #NAME? P #REF! P
dcf = cf / (1+r1)
rate 6.51% 5.52% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
#NAME?
2013
Construction in
Accumulat Building Progress Total
ed
Cost
Depreciati
At beginnin P #NAME? P #NAME? P #NAME?
on,
Additions 350,000 (350,000) -
Amortizati
At end of year #NAME? #NAME? #NAME?
on and
Impairmen
t Loss
At beginning of year #NAME? - #NAME?
Depreciation and amorti #NAME? - #NAME?
At end of year #NAME? #NAME?
Net Book VP #NAME? P #NAME? P #NAME?
2,500,000
974,000
2015 2014 2013 2012 2011
Fair Value Carrying Value Fair Value Carrying Value Fair Value Carrying Value Fair Value
111,816
-
1,446,632
9,846,433
9,846,433
Net Sales Output VAT
Taxable Sales
Sale of services 447,000 53,640
447,000 53,640
Zero-rated sales
Exempt sales
447,000 53,640
-
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2017
Taxable income #NAME?
Taxable #NAME?
Rate 0.30
#NAME?
or
MCIT
Gross profit 447,000.00
Rate 0.02
8,940.00
Future Years
2016 2017 2018
Future
taxable
(Deductible) Tax Deferred tax
Temporary Diferrence Amounts Rate (Assets)
Installment sales
MCIT (16,008.00) 100% (16,008.00)
NOLCO #NAME? 30% #NAME?
Depreciation
Warranty costs
Totals #NAME? #NAME?
JOURNAL ENTRY
income tax expense #NAME? #NAME?
deferred tax asset #NAME?
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (Assets) Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2017
Deferred tax assets on
MCIT P 16,008 P
NOLCO #NAME?
#NAME?
reconciliation
2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 24,336
Movements in temporary differences 79,321
#NAME?
#NAME?
template for reconciliation
base rate
Income from operation (13,770) #NAME? 0.30
other income charges
interest income - 0.20
bank charges - 0.30
changes in temporary
expired nolco movement
expired mcit movement
presentation
2017
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Net operating loss carry over (NOLCO) #NAME?
Movements in temporary differences #NAME?
#NAME?
ure Years
2019 2020 Total
-
8,520.00 - 16,008.00
#NAME? - #NAME?
-
-
#NAME? - #NAME?
#NAME?
#NAME?
Liablities
ated Balance
Classification
allment receivables Current
Non current
ranty Obligations Current
2016 2015 2014 2,009.00
2010 2,009.00
(75,628) P (82,756.24)
3,693 3,789.79
(3,693) -
(75,628) P (78,966.45)
(75,627.84)
0.00
#NAME?
-
-
-
-
#NAME?
-
-
#NAME?
-
-
-
#NAME?
#NAME?
actual nolco
Year Applied Applied NOLCO Expiry
Incurred Amount Previous year Current year Expired Unapplied Year
2013 #NAME? #NAME? #NAME? 2016
2014 #NAME? 84,532 #NAME? 2017
2015 #NAME? #NAME? 2018
2016 #NAME? #NAME? 2019
2017 - -
#NAME? - - #NAME? #NAME?
#NAME?
#NAME?
2017 2016
Taxes and licenses 111,907 148,169
Travel and transportation 75,865 54,493
Salaries and wages 60,000 60,000
Office supplies 54,007 2,348
Professional fees 41,000 48,000
Repairs and maintenance 37,314 8,195
Insurance 33,253 5,622
Dues and subscriptions 30,396 42,195
Depreciation 30,000 30,000
Light and water 25,287 25,488
Representation 23,505 22,447
Promotion and marketing 15,642 -
Gas and oil 15,428 6,000
Postage, telephone and telegram 15,320 9,500
Donation 5,000 -
Employees benefits 2,500 5,000
Bank charges 450 -
Miscellaneous 28,263 20,533
Total Expenses 605,137 487,989
2017
ALAMINOS QC
OPERATING EXPENSES
Salaries and wages 60,000.00
Repairs and maintenance 19,037.75 37,296.15
Taxes and licenses #REF! #REF!
Professional fees 51,000.00
Dues and subscriptions
Insurance 5,621.26 13,810.30
Light and water 1,095.27 24,000.00
Gas and oil 750.00 8,820.00
Employees benefits 5,000.00
Real Property tax
Fund Transfer 3,013,000.00
Bank charges 650.00
Representation
Commission
Brokers' fees
Travel and transportation 2,617.46 42,000.00
Marketing expense 5,000.00
Depreciation
Postage, telephone and telegram 12,000.00
Office supplies 5,153.25
SSS and medicare contribution
Donation 1,000.00 4,000.00
Outside Services
Miscellaneous 4,018.94 59,407.64
Total Expenses #REF! #REF!
Advances #REF! #REF!
2016
ALAMINOS QC
OPERATING EXPENSES
Salaries and wages
Repairs and maintenance 400.00 489.50
Taxes and licenses 9,790.00 97,632.23
Professional fees 46,000.00
Dues and subscriptions 42,194.64
Insurance 5,621.94
Light and water 3,358.84 24,000.00
Gas and oil 3,454.93
Employees benefits 5,000.00 2,000.00
Real Property tax 11,870.20 22,893.88
Fund Transfer 345,000.00
Bank charges 300.00
Representation
Commission
Brokers' fees
Travel and transportation 5,365.50
Depreciation
Postage, telephone and telegram 180.00 5,500.00
Office supplies 2,581.00
SSS and medicare contribution
Outside Services 8,500.00
Miscellaneous 700.00 113,566.30
Total Expenses 382,220.98 374,177.98
#REF! #REF!
#REF! #REF!
AFADECO
Schedule of check not yet disbursed
#REF! #REF!
2017 Alaminos
ALAMINOS QC Total Real Property Taxes
OPERATING EXPENSES BIR reg 15,703.84
Salaries and wages 60,000.00 60,000 wtax
Repairs and maintenance 19,037.75 37,296.15 56,334 bus. Permit 264,434.50
Taxes and licenses 280,138.34 38,836.37 318,975 others
Professional fees 51,000.00 51,000 280,138.34
Dues and subscriptions -
Insurance 5,621.26 13,810.30 19,432 Vat
Light and water 1,095.27 24,000.00 25,095
Gas and oil 750.00 8,820.00 9,570
Employees benefits 5,000.00 5,000
Real Property tax -
Fund Transfer 3,013,000.00 3,013,000
Bank charges 650.00 650
Representation -
Commission -
Brokers' fees -
Travel and transportation 2,617.46 42,000.00 44,617
Marketing expense 5,000.00 5,000
Depreciation -
Postage, telephone and telegram 12,000.00 12,000
Office supplies 5,153.25 5,153
SSS and medicare contribution - voucher payable
Donation 1,000.00 4,000.00 5,000
Outside Services - fund transfer
Miscellaneous 4,018.94 59,407.64 63,427 depreciation
Total Expenses 3,332,929.02 361,323.71 3,694,252.73 miscellaneous
Advances (489,026.37) (54,240.00)
2016
ALAMINOS QC Total real property taxes
OPERATING EXPENSES BIR reg
Salaries and wages - wtax
Repairs and maintenance 400.00 489.50 890 bus. Permit
Taxes and licenses 9,790.00 97,632.23 107,422 others
Professional fees 46,000.00 46,000
Dues and subscriptions 42,194.64 42,195
Insurance 5,621.94 5,622
Light and water 3,358.84 24,000.00 27,359
Gas and oil 3,454.93 3,455
Employees benefits 5,000.00 2,000.00 7,000
Real Property tax 11,870.20 22,893.88 34,764
Fund Transfer 345,000.00 345,000
Bank charges 300.00 300
Representation -
Commission -
Brokers' fees -
Travel and transportation 5,365.50 5,366
Depreciation -
Postage, telephone and telegram 180.00 5,500.00 5,680
Office supplies 2,581.00 2,581
SSS and medicare contribution - voucher payable
Outside Services 8,500.00 8,500 fund transfer
Miscellaneous 700.00 113,566.30 114,266 depreciation
Total Expenses 382,220.98 374,177.98 756,398.96 miscellaneous
16,000
24,780 157,173 53,807 124,106 7,633 29,342 61,738
119,886 59,267 58,877 74,122 49,866 68,786 48,141
36,000 35,000 42,000 41,000 24,000 44,000 39,000
42,195 47,754 64,434 64,434 64,434 57,275 41,388
6,270 6,270 6,270 6,540 6,000 6,270
26,379 46,085 27,442 12,160 16,709 12,389 16,705
15,372 5,700 4,630 5,700 1,450 3,800 16,800
-
9,468 11,815 3,697 2,323 4,487 4,872 7,733
8972240
38,836.37
#REF!
54,240.00
#REF!
756,398.96
345,000.00
#NAME?
#NAME?
#NAME?
#NAME?
QC SUMMARY OF DISBURSEMENTS alaminos qc
2013 2013 total 2014 total
cash -
Amount Amount Amount Apportionement Maximum % ceiling taxable representation
#DIV/0! - #DIV/0!
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
151,250.00 157,291.05
50,066.20 48,869.25
51,206.00 25,934.67
36,000.00 36,000.00
45,556.00 46,396.25
6,150.00 3,416.25
13,474.12 12,000.00
24,175.05 8,417.35
- 2,500.00
59,500.00 12,000.00
-
-
5,423.00 2,621.75
10,449.96 10,449.96
1,934.58 650.08
5,230.40 753.90
6,248.40 14,313.60
22,007.32 3,640.95
488,671.03 385,255.06
property and equpment
2016
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? - #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2015
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Net Book Value P #NAME? P #NAME? P - P #NAME? P #NAME?
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost Accumulat
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? ed
Cost
Additions - - Depreciati
At beginnin
Disposal/retirement - - - - on,
Additions
At end of year #NAME? #NAME? #NAME? #NAME? #NAME? Amortizati
At end of year
on and
Accumulated Depreciation, Amortization and Impairmen
Impairment Loss t Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME? At beginning of year
Depreciation and amortization #NAME? #NAME? Depreciation and amorti
Disposals/retirement - - - - At end of year
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME? Net Book V
2013
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions 350,000 - (350,000) -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2012
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P #NAME?
Additions - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2011
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P #NAME?
Additions - #NAME? #NAME?
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? - #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2010
Transportation Construction in
Building Equipment Miscellaneous Progress Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? 16,384 #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
investment property
2016
Land Building Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year - #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year - #NAME? #NAME?
2014
investment property
2012
2011
2010
Land Building Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2009
Financial Liabilities
Financial liabilities carried at amortized costs:
Customers' deposit P #NAME? #NAME? P #REF! #REF! #REF! #REF!
Due to related parties 1,090,033 1,090,033 #NAME? #NAME? #REF! #REF!
P #NAME? #NAME? P #REF! P #REF! P #REF! P #REF! P
dcf = cf / (1+r1)
rate 6.51% 5.52% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
2013
Construction in
Building Progress Total
- - 234,816 234,816
- - -
#NAME? #NAME? #NAME? 1,100,000 1,100,000
#REF! - -
#NAME? P #NAME? P #NAME? P 678,714 P 1,446,632 P 1,446,632
2012 2011
Carrying Value Fair Value Carrying Value Fair Value Carrying Value 5.70%
6.65%
Schedule of VAT Transactions 2015
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VA Capital Non CapitalCapital Non CapitaServices qualified f others Total purch
- ( 4,200.00)
- 4,200.00 -
- 3,960.00 -
- 3,960.00 -
- 3,960.00 -
- 3,960.00 -
- 3,960.00 -
- 4,320.00 -
- 4,320.00 -
- 4,320.00 -
- 4,920.00 -
- 4,920.00 -
-
- 46,800.00 ( 4,320.00)
- 46,800.00
MCIT
actual nolco
Year Applied Applied NOLCO Expiry
Incurred Amount Previous year Current year Expired Unapplied Year
2013 #NAME? #NAME? #NAME? 2016
2014 #NAME? #NAME? 2017
2015 #NAME? #NAME? 2018
2016 #NAME? #NAME? 2019
-
#NAME? - - #NAME? #NAME?
#NAME?
#NAME?
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2015
Taxable income #NAME?
Taxable #NAME?
Rate 0.30
#NAME?
or
MCIT
Gross profit 426,000.00
Rate 0.02
8,520.00
Future Years
2015 2016 2017
Future
taxable
(Deductible) Tax Deferred tax
Temporary Diferrence Amounts Rate (Assets)
Installment sales
MCIT (23,976.00) 100% (23,976.00)
NOLCO #NAME? 30% #NAME?
Depreciation
Warranty costs
Totals #NAME? #NAME?
JOURNAL ENTRY
income tax exp[ense #NAME? #NAME?
deferred tax asset #NAME?
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (Assets) Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2016
Deferred tax assets on
MCIT P 23,976 P
NOLCO #NAME?
#NAME?
reconciliation
2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 24,336
Movements in temporary differences 79,321
#NAME?
#NAME?
template for reconciliation
base rate
Income from operation (13,770) #NAME? 0.30
other income charges
interest income - 0.20
bank charges - 0.30
changes in temporary
expired nolco movement
expired mcit movement
presentation
2016
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Net operating loss carry over (NOLCO) #NAME?
Movements in temporary differences #NAME?
#NAME?
Years
2018 2019 Total
-
7,488.00 8,520.00 23,976.00
#NAME? #NAME? #NAME?
-
-
#NAME? #NAME? #NAME?
#NAME?
#NAME?
Liablities
Classification
ment receivables Current
Non current
ty Obligations Current
2015 2014 2,009.00
24,336 41,144 -
271,122 P #NAME? -
295,458 #NAME? -
295,458 #NAME? -
2010 2,009.00
(75,628) P (82,756.24)
3,693 3,789.79
(3,693) -
(75,628) P (78,966.45)
(75,627.84)
0.00
#NAME?
-
-
-
-
#NAME?
-
-
#NAME?
-
-
-
#NAME?
#NAME?
2015 2014
#NAME? P #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? P #NAME?
Net Sales Output VAT
Taxable Sales
Sale of services 426,000 51,120
426,000 51,120
Zero-rated sales
Exempt sales
426,000 51,120
2016 licenses
real estate
from petty cash
bus permit
ctc
rf
business permit
real estate
real estate
realty 2016
-
2016 2015 2014 2013 2012 2011
OPERATING EXPENSES
Salaries and wages 10,000
Repairs and maintenance 14,449.94 - 24,780 157,173
Taxes and licenses 93,215 66,602.51 20,374.00 119,886 59,267
Professional fees 41,400 44,000.00 71,646.07 36,000 35,000
Dues and subscriptions 42,195 42,194.64 78,519.68 42,195 47,754
Insurance 5,622 5,622 6,858.00 42,194.64 6,270
Light and water 27,359 28,859.03 6,540.00 26,379 46,085
Gas and oil 3,455 3,300.00 26,472.50 15,372 5,700
Employees benefits 11,000 18,481.00
Representation - 450.00 6,250 1,470
Commission - 15,000
Brokers' fees -
Travel and transportation 11,200 3,429.00 - 9,468 11,815
Depreciation #NAME? 258,981.74 258,981.74 241,482 241,482
Postage, telephone and telegram 6,000 6,000.00 - 19,796 19,565
Office supplies 2,581 1,473.25 12,772.08 5,154 5,037
SSS and medicare contribution -
Outside Services
Miscellaneous 17,100 6,784.33 840,000.00 43,193 179,475
Total Expenses 5,622 #NAME? 482,932.44 1,376,431.71 596,223 824,823
#NAME?
#NAME? #NAME?
#NAME? #NAME?
AFADECO
Schedule of check not yet disbursed
AFADECO-ALAMINOS
Check no. Check no. Amount
12493 12493 500.00 OPERATING EXPENSES 2013
12494 12494 200.00 Salaries and wages
12495 12495 4,440.00 Repairs and maintenance
12505 12505 200.00 Taxes and licenses 1,250.00
12507 12507 4,440.00 Professional fees 5,297.50
12513 12513 200.00 Dues and subscriptions ###
12514 12514 4,440.00 Insurance
12523 12523 200.00 Light and water 6,540.00
12527 12527 4,440.00 Gas and oil 2,472.50
12532 12532 19,000.00 Employees benefits 2,500.00
12533 12533 200.00 Real Property tax\ 3,000.00
12534 12534 4,440.00 Fund Transfer 8,273.60
12536 12536 2,000.00 Bank charges ###
12541 12541 2,200.00 Representation 450.00
12547 12547 1,000.00 Commission
12548 12548 4,440.00 Brokers' fees
12551 12551 200.00 Travel and transportation
12552 12552 4,983.00 Depreciation 307.00
12556 12556 4,440.00 Postage, telephone and telegram
12559 12559 200.00 Office supplies 6,598.08
12560 12560 2,220.00 SSS and medicare contribution
12561 12561 4,440.00 Miscellaneous
12569 12569 4,440.00 Total Expenses 1,400.00
12576 12576 200.00 ###
12581 12581 4,440.00
12585 12585 200.00
12587 12587 200.00
12588 12588 500.00 deposits
12590 12590 4,440.00 cash
TOTAL 83,243.00
details of allowable representation expense
97,258.31 (4,043.31)
#NAME?
alaminos qc
QC SUMMARY OF D total 2014 total
2013
total
withdrawal
-
Apportionement Maximum % ceiling taxable representation
Amount #DIV/0! - #DIV/0!
#NAME? #NAME? #NAME?
#NAME? #NAME? #NAME? #NAME?
#NAME?
#DIV/0! #NAME? #DIV/0!
#NAME?
###
property and equpment
2015
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P
Additions -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? -
Depreciation and amortization #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P
Additions -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? -
Depreciation and amortization #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2013
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P
Additions 350,000 - (350,000)
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? -
Depreciation and amortization #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2012
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME? P
Additions -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? -
Depreciation and amortization #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2011
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P - P
Additions - #NAME?
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? -
Depreciation and amortization #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2010
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P P
Additions - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? 16,384
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME? #NAME?
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year #NAME? #NAME? #NAME? #NAME?
investment property
2015
2014
investment property
2012
2011
2010
Land Building Total
Cost
At beginning of year P #NAME? P #NAME? P #NAME?
Additions - - -
Disposal/retirement - - -
At end of year #NAME? #NAME? #NAME?
Accumulated Depreciation, Amortization and
Impairment Loss
At beginning of year #NAME? #NAME? #NAME?
Depreciation and amortization #NAME? #NAME?
Disposals/retirement - - -
Impairment Loss - - -
At end of year #NAME? #NAME? #NAME?
2009
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable P #REF! P #REF! P #REF! P #REF! P
Income tax #REF! #REF! #REF! #REF!
Customers' deposit #REF! #REF! #REF! #REF!
Due to related parties #REF! #REF! #REF! #REF!
P #REF! P #REF! P #REF! P #REF! P
dcf = cf / (1+r1)
rate 6.51% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
Total
#NAME?
-
-
#NAME?
#NAME?
#NAME? #NAME?
-
-
#NAME?
#NAME?
2013
Total Construction in
Accumulat Building Progress Total
#NAME? ed
Cost
- Depreciati
At beginnin P #NAME? P #NAME? P #NAME?
- on,
Additions 350,000 (350,000) -
#NAME? Amortizati
At end of year #NAME? #NAME? #NAME?
on and
Impairmen
t Loss
#NAME? At beginning of year #NAME? - #NAME?
#NAME? Depreciation and amorti #NAME? - #NAME?
- At end of year #NAME? #NAME?
-
#NAME? Net Book VP #NAME? P #NAME? P #NAME?
#NAME?
Total
#NAME?
-
-
#NAME?
#NAME?
#NAME?
-
-
#NAME?
#NAME?
Total
#NAME?
-
-
#NAME?
#NAME?
#NAME?
-
-
#NAME?
#NAME?
Total
#NAME?
#NAME?
-
#NAME?
#NAME?
#NAME?
-
-
#NAME?
#NAME?
Total
#NAME?
-
-
#NAME?
#NAME?
#NAME?
-
-
#NAME?
#NAME?
2010 2009 2007
Fair Value Carrying Value Fair Value Carrying Value Fair Value Carrying Value
- - - 234,816
- - -
#NAME? #NAME? #NAME? #NAME? 1,100,000
#NAME? #REF! -
P #NAME? P #NAME? P #NAME? P #NAME? P 678,714 P 1,446,632 P
2007
5.52% 6.65%
land area
2,117.48
54,600.00 20.07
143,803.00
221.00
200,741.48
Fair Value
111,816
234,816
-
1,100,000
-
1,446,632
-
-
9,846,433
9,846,433
5.70%
Schedule of VAT Transactions 2015
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VA Capital Non CapitalCapital Non CapitaServices qualified f others Total purch
Jan - - -
Feb - - -
Mar 93,600.00 93,600.00 11,232.00 -
Apr - - -
May - - -
Jun 93,600.00 93,600.00 11,232.00 -
Jul - - -
Aug - - -
Sep 93,600.00 93,600.00 11,232.00 -
Oct - - -
Nov - - -
Dec 93,600.00 93,600.00 11,232.00 -
- -
- 7,488.00 7,488.00
- 3,744.00 -
- -
- 7,488.00 7,488.00
- 3,744.00 -
- -
- 7,488.00 7,488.00
- 3,744.00 -
- -
- 7,488.00 7,488.00
- 3,744.00 -
-
- 44,928.00 -
- 44,928.00
MCIT
actual nolco
Year Applied Applied NOLCO Expiry
Incurred Amount Previous year Current year Expired Unapplied Year
2012 #NAME? 119,338.14 #NAME? 2015
2013 #NAME? #NAME? 2016
2014 #NAME? #NAME? 2017
2015 #NAME? #NAME? 2018
-
#NAME? - - 119,338.14 #NAME?
#NAME?
#NAME?
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2015
Taxable income #NAME?
Taxable #NAME?
Rate 0.30
#NAME?
or
MCIT
Gross profit 374,400.00
Rate 0.02
7,488.00
Future Years
2014 2015 2016
Future
taxable
(Deductible) Tax Deferred tax
Temporary Diferrence Amounts Rate (Assets)
Installment sales
MCIT (24,336.00) 100% (24,336.00)
NOLCO #NAME? 30% #NAME?
Depreciation
Warranty costs
Totals #NAME? #NAME?
JOURNAL ENTRY
income tax exp[ense #NAME? #NAME?
deferred tax asset #NAME?
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (Assets) Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2015
Deferred tax assets on
MCIT 24,336
NOLCO P #NAME? P
#NAME?
reconciliation
2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 24,336
Movements in temporary differences 79,321
Provision for income tax P #NAME? P
#NAME?
#NAME?
changes in temporary
expired nolco movement
expired mcit movement
presentation
2015
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Minimum corporate income tax -
Net operating loss carry over (NOLCO) #NAME?
Provision for deferred income tax asset on loss on investment in associates
Interest income subject to final tax -
Rate differential -
Movements in temporary differences #NAME?
#NAME?
#NAME?
re Years
2017 2018 Total
-
7,968.00 7,488.00 24,336.00
#NAME? #NAME? #NAME?
-
-
#NAME? #NAME? #NAME?
#NAME?
#NAME?
Liablities
elated Balance
heet Accounts Classification
nstallment receivables Current
Non current
Warranty Obligations Current
2014 2,009.00
41,144 -
#NAME? P -
#NAME? -
- -
- -
#NAME? P -
2010 2,009.00
(75,628) P (82,756.24)
3,693 3,789.79
(3,693) -
(75,628) P (78,966.45)
(75,627.84)
0.00
#NAME?
-
-
-
-
#NAME?
-
-
#NAME?
-
-
-
#NAME?
#NAME?
2014
#NAME?
-
#NAME?
-
-
#NAME?
#NAME?
Net Sales Output VAT
Taxable Sales
Sales of goods -
Sale of services #NAME? #NAME?
Commission -
Leasing income -
Others -
#NAME? #NAME?
Zero-rated sales
Exempt sales
#NAME? #NAME?
2012 licenses
real estate #NAME?
from petty cash #NAME?
bus permit 32,335
ctc 1,702
rf #NAME?
business permit #NAME?
real estate #NAME?
real estate #NAME?
realty 2013 #NAME?
#NAME?
Schedule of VAT Transactions 2014
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
Jan - -
Feb - -
Mar 111,600.00 111,600.00 13,392.00
Apr - -
May - -
Jun 99,600.00 99,600.00 11,952.00
Jul - -
Aug - -
Sep 93,600.00 93,600.00 11,232.00
Oct - -
Nov - -
Dec 93,600.00 93,600.00 11,232.00
- - -
- - 8,928.00 8,928.00
- - 4,464.00 -
- - -
- - 8,208.00 8,208.00
- - 3,744.00 -
- - -
- - 7,488.00 7,488.00
- - 3,744.00 -
- - -
- - 7,488.00 7,488.00
- - 3,744.00 -
-
- - - 47,808.00 -
- - 47,808.00
property and equpment
2014
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 600,000 P 174,568 P 173,453 P #NAME? P
Additions -
Disposal/retirement - - -
At end of year 600,000 174,568 173,453 #NAME?
2013
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P #NAME? P
Additions 350,000 - (350,000)
Disposal/retirement - - -
At end of year 600,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 87,500 174,568 173,453 -
Depreciation and amortization 30,000
Disposals/retirement - - -
Impairment Loss - - -
At end of year 117,500 174,568 173,453
2012
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P #NAME? P
Additions -
Disposal/retirement - - -
At end of year 250,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 75,000 174,568 173,453 -
Depreciation and amortization 12,500
Disposals/retirement - - -
Impairment Loss - - -
At end of year 87,500 174,568 173,453
2011
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P - P
Additions - #NAME?
Disposal/retirement - - -
At end of year 250,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 62,500 174,568 173,453 -
Depreciation and amortization 12,500
Disposals/retirement - - -
Impairment Loss - - -
At end of year 75,000 174,568 173,453
2010
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P P
Additions - -
Disposal/retirement - - -
At end of year 250,000 174,568 173,453
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 50,000 174,568 157,069
Depreciation and amortization 12,500 16,384
Disposals/retirement - - -
Impairment Loss - - -
At end of year 62,500 174,568 173,453
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 37,500 174,568 122,378 334,446
Depreciation and amortization 12,500 34,691 47,191
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 50,000 174,568 157,069 381,637
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 25,000 174,568 115,378 314,946
Depreciation and amortization 12,500 7,000 19,500
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 37,500 174,568 122,378 334,446
2014
investment property
2012
2011
2010
2009
2008
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable P - P - P - P - P
Income tax - - - -
Customers' deposit #NAME? #NAME? #NAME? #NAME?
Due to related parties 1,427,393 1,427,393 1,577,014 1,577,014
P #NAME? P #NAME? P #NAME? P #NAME? P
dcf = cf / (1+r1)
rate 6.51% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
D
ep
re
ci
ati
on
,
A
m
ort
iz 2013
ati
on
Total an Construction in
d Building Progress Total
#NAME? ImCost
- paAt P 250,000 P #NAME? P #NAME?
- irAddit 350,000 (350,000) -
#NAME? m At en 600,000 #NAME? #NAME?
en
t
Lo
ss
465,521 At be 87,500 - 87,500
30,000 Depre 30,000 - 30,000
- At en 117,500 117,500
-
495,521 Ne P 482,500 P #NAME? P #NAME?
#NAME?
Total
#NAME?
-
-
#NAME?
435,521
30,000
-
-
465,521
#NAME?
Total
#NAME?
-
-
#NAME?
423,021
12,500
-
-
435,521
#NAME?
Total
598,021
#NAME?
-
#NAME?
410,521
12,500
-
-
423,021
#NAME?
Total
598,021
-
-
598,021
381,637
28,884
-
-
410,521
187,500
### 2009 2007
Fair Value Carrying Value Fair Value Carrying Valu Fair Value Carrying Value
- ### - 234,816
- ### -
- ### ### ### 1,100,000
#NAME? ### -
P #NAME? P### P ### P ### P 678,714 P 1,446,632
2007
P - P### P ### P ### P (0) P
- ### ### ### 0
#NAME? ### ### ### 1,800
#NAME? ### ### ### 6,146,433 9,846,433
P #NAME? P### P ### P ### P 6,148,233 P 9,846,433
###
Carrying Value Fair Value Carrying Value ### 5.70%
-
-
- - ###
#NAME? #NAME? ###
#NAME? P #NAME? P###
#NAME? P #NAME? P
- -
#NAME? #NAME? ###
#NAME? #NAME? ###
#NAME? P #NAME? P###
5.52% ###
land area
2,117.48
54,600.00 20.07
143,803.00
221.00
200,741.48
Carrying Value Fair Value
P 111,816
234,816
-
1,100,000
-
P 1,446,632
-
-
9,846,433
P 9,846,433
MCIT
-
P #NAME? P - P #NAME?
actual nolco
Year Applied applied nolco
Incurred Amount previous year current year expired unapplied
2012 #NAME? #NAME? 2015
2013 #NAME? #NAME? 2016
2014 #NAME? #NAME? 2017
-
#NAME? - - - #NAME?
#NAME?
#NAME?
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2014
Taxable income #NAME?
Taxable #NAME?
Rate 0.30
#NAME?
or
MCIT
Gross profit 398,400.00
Rate 0.02
7,968.00
Future Years
2014 2015 2016
Future
taxable
(Deductible) Tax Deferred tax
Temporary Diferrence Amounts Rate (Assets)
Installment sales
MCIT (41,143.50) 100% (41,143.50)
NOLCO #NAME? 30% #NAME?
Depreciation
Warranty costs
Totals #NAME? #NAME?
JOURNAL ENTRY
income tax exp[ense #NAME? #NAME?
deferred tax asset #NAME?
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (Assets) Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2014
Deferred tax assets on
MCIT 41,144
NOLCO P #NAME? P
#NAME?
reconciliation
2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 41,144
Movements in temporary differences 79,321
Provision for income tax P #NAME? P
#NAME?
#NAME?
changes in temporary
expired nolco movement
expired mcit movement
presentation
2014
Provision (benefit from) for income tax at statutory tax rates P #NAME? P
Adjustments resulting from:
Minimum corporate income tax -
Net operating loss carry over (NOLCO) #NAME?
Provision for deferred income tax asset on loss on investment in associates
Interest income subject to final tax -
Rate differential -
Movements in temporary differences #NAME?
#NAME?
#NAME?
re Years
2017 2018 Total
-
7,968.00 41,143.50
#NAME? #NAME?
-
-
#NAME? - #NAME?
#NAME?
#NAME?
Liablities
elated Balance
heet Accounts Classification
nstallment receivables Current
Non current
Warranty Obligations Current
2013 2,009.00
33,176 -
#NAME? P -
#NAME? -
- -
- -
#NAME? P -
2010 2,009.00
(75,628) P (82,756.24)
3,693 3,789.79
(3,693) -
(75,628) P (78,966.45)
(75,627.84)
0.00
#NAME?
-
-
-
-
#NAME?
-
-
#NAME?
-
-
-
#NAME?
#NAME?
2013
#NAME?
(8,880)
#NAME?
-
-
#NAME?
#NAME?
Net Sales Output VAT
Taxable Sales
Sales of goods -
Sale of services 398,400 47,808
Commission -
Leasing income -
Others -
398,400 47,808
Zero-rated sales
Exempt sales
398,400 47,808 ok 2014
2012 licenses
real estate #NAME?
from petty cash #NAME?
bus permit 32,335
ctc 1,702
rf #NAME?
business permit #NAME?
real estate #NAME?
real estate #NAME?
realty 2013 #NAME?
#NAME?
PROPOSED AJE # 1
cash 809,872.57
income 444,000.00
?? 365,872.57
PROPOSED AJE # 2
prepaid 8,520.00
?? 8,520.00
Schedule of VAT Transactions 2013
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
Jan - -
Feb - -
Mar 111,000.00 111,000.00 13,320.00
Apr - -
May - -
Jun 111,000.00 111,000.00 13,320.00
Jul - -
Aug - -
Sep 111,000.00 111,000.00 13,320.00
Oct - -
Nov - -
Dec 111,000.00 111,000.00 13,320.00
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
-
- - - 53,280.00 -
- - 53,280.00
property and equpment
2013
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P #NAME? P
Additions 350,000 - (350,000)
Disposal/retirement - - -
At end of year 600,000 174,568 173,453 #NAME?
2012
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P #NAME? P
Additions -
Disposal/retirement - - -
At end of year 250,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 75,000 174,568 173,453 -
Depreciation and amortization 12,500
Disposals/retirement - - -
Impairment Loss - - -
At end of year 87,500 174,568 173,453
2011
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P - P
Additions - #NAME?
Disposal/retirement - - -
At end of year 250,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 62,500 174,568 173,453 -
Depreciation and amortization 12,500
Disposals/retirement - - -
Impairment Loss - - -
At end of year 75,000 174,568 173,453
2010
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P P
Additions - -
Disposal/retirement - - -
At end of year 250,000 174,568 173,453
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 50,000 174,568 157,069
Depreciation and amortization 12,500 16,384
Disposals/retirement - - -
Impairment Loss - - -
At end of year 62,500 174,568 173,453
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 37,500 174,568 122,378 334,446
Depreciation and amortization 12,500 34,691 47,191
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 50,000 174,568 157,069 381,637
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 25,000 174,568 115,378 314,946
Depreciation and amortization 12,500 7,000 19,500
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 37,500 174,568 122,378 334,446
investment property
2014
investment property
2012
2011
2010
2009
2008
dcf = cf / (1+r1)
rate 5.52% 5.52%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
D
ep
re
ci
ati
on
,
A
m
ort
iz 2013
ati
on
an Construction in
Total d Building Progress Total
ImCost
#NAME? paAt P 250,000 P #NAME? P #NAME?
- irAddit 350,000 (350,000) -
- m At en 600,000 #NAME? #NAME?
en
#NAME?
t
Lo
ss
At be 87,500 - 87,500
435,521 Depre 30,000 - 30,000
30,000 At en 117,500 117,500
-
- Ne P 482,500 P #NAME? P #NAME?
465,521
#NAME?
Total
#NAME?
-
-
#NAME?
423,021
12,500
-
-
435,521
#NAME?
Total
598,021
#NAME?
-
#NAME?
410,521
12,500
-
-
423,021
#NAME?
Total
598,021
-
-
598,021
381,637
28,884
-
-
410,521
187,500
2007
- ### - 234,816
- ### -
- - ### ### ### 1,100,000
#NAME? #NAME? ### -
#NAME? P #NAME? P ### P ### P ### P 678,714 P 1,446,632
P - P ### P ### P ### P (0) P
- ### ### ### 0
#NAME? #NAME? ### ### ### 1,800
#NAME? #NAME? ### ### ### 6,146,433 9,846,433
#NAME? P #NAME? P ### P ### P ### P 6,148,233 P 9,846,433
land area
2,117.48
54,600.00
143,803.00
221.00
200,741.48 20.07
Carrying Value Fair Value
P 111,816
234,816
-
1,100,000
-
P 1,446,632
-
-
9,846,433
P 9,846,433
MCIT
-
P #NAME? P 76,113 P #NAME?
-
#NAME? - - 253,708.73 #NAME?
deferred income tax #NAME?
#NAME?
#NAME?
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
2013
Taxable income ###
Taxable ###
Rate ###
###
or
MCIT
Gross profit ###
Rate ###
###
Future Years
### 2014 ### 2016 2017
Future
taxable
(Deductible)
Tax Deferred tax
Temporary Diferrence Amounts
Rate (A Liablities
Installment sales
MCIT ### 100%###
NOLCO ### 30%###
Depreciation
Warranty costs
Totals ### ### -
JOURNAL ENTRY
income tax exp[ense ### #NAME?
deferred tax asset ###
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (A Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2013 2012
Deferred tax assets on
MCIT 33,176 -
NOLCO P #NAME? P - P
#NAME? -
reconciliation
2010 2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P (75,628) P
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax 33,176 3,693
Movements in temporary differences 79,321 (3,693)
Provision for income tax P #NAME? P (75,628) P
#NAME? (75,627.84)
#NAME? 0.00
changes in temporary
expired nolco movement
expired mcit movement
#NAME?
#NAME?
presentation #NAME?
2013 2,012
Provision (benefit from) for income tax at statutory tax rates P #NAME? P #NAME?
Adjustments resulting from:
Minimum corporate income tax (8,880) (24,296)
Net operating loss carry over (NOLCO) #NAME? 35,700
Provision for deferred income tax asset on loss on investment in associates
Interest income subject to final tax -
Rate differential -
Movements in temporary differences #NAME? -
#NAME?
Total
-
33,175.50
#NAME?
-
-
#NAME?
#NAME?
#NAME?
Classification
Current
Non current
Current
2,009.00
-
-
-
-
-
2,009.00
(82,756.24)
3,789.79
-
(78,966.45)
2012 licenses
real estate #NAME?
from petty cash #NAME?
bus permit 32,335
ctc 1,702
rf #NAME?
business permit #NAME?
real estate #NAME?
real estate #NAME?
realty 2013 #NAME?
#NAME?
AFADECO SUMMARY OF FUND TRANSFER
Date Amount
10-Jan 50,000
18-Feb 40,000
13-Mar 45,000
11-Apr 35,000
6-May 35,000
4-Jun 30,000
3-Jul 40,000
14-Aug 20,000
9-Sep 25,000
14-Oct 40,000
13-Nov 30,000
12-Dec 30,000
Total P 420,000
Schedule of VAT Transactions 2012
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
Jan - -
Feb - -
Mar 143,885.00 143,885.00 17,266.20
Apr - -
May - -
Jun 111,000.00 111,000.00 13,320.00
Jul - -
Aug - -
Sep 111,000.00 111,000.00 13,320.00
Oct - -
Nov - -
Dec 111,000.00 111,000.00 13,320.00
- - -
- - 12,826.20 12,826.20
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - -
- - 8,880.00 8,880.00
- - 4,440.00 -
- - - 57,226.20
- - 57,226.20
PROPOSED AJE # 1
representaion 100,000.00
advances 100,000.00
to reclassify
PROPOSED AJE # 2
provision for 24,295.50
income tax 24,295.50 24,295.50
prepaid 24,295.50
to take up tax provision
PROPOSED AJE # 3
cash 132,849.01
advances from officers 132,849.01
to set up cash balance
PROPOSED AJE # 4
prepaid 78,277.49
advances 78,277.49
to set up prepaid after computing tax due
PROOSED AJE # 5
ap 30,986.20
advances 30,986.20
to set up liabilty
PROPOSED AJE #6
advances 4,596,353.83
PROPOSED AJE # 7
taxes #NAME?
prepaid #NAME?
misc 1,250.00
MCIT
NOLCO
Inception Year Amount Applied Balance Expiry Year
2010 P #NAME? P P #NAME? 2013
-
P #NAME? P - P #NAME?
#NAME?
Net Sales Output VAT
Taxable Sales
Sales of goods -
Sale of services 476,885 57,226
Commission -
Leasing income -
Others -
476,885 57,226
Zero-rated sales
Exempt sales
476,885 57,226
2012 licenses
real estate #NAME?
from petty cash #NAME?
bus permit 32,335
ctc 1,702
rf #NAME?
business permit #NAME?
real estate #NAME?
real estate #NAME?
realty 2013 #NAME?
#NAME?
PROPOSED AJE # 1
cash 372,584.32 metro sa 16,028.86
interest income 1,550.68 metro ca 27,461.22
ap 374,135.00 sual 4,226.43
to take up balances of bnk
47,716.51
PROPOSED AJE # 2 #NAME?
rental income 43,000.00 #NAME?
ap 43,000.00
2550q 444,000.00
PROPOSED AJE # 3 43,000.00
inventory 130,393.60
loss on imp 130,393.60
PROPOSED AJE # 4
cost of sal 885,656.11
investment property 885,656.11
PROOSED AJE # 5
AR 786,273
AP 786,272.50
ALL receivables were liquidated
PROPOSED AJE # 6
Depreciatio 12,500.00
acc depreciation 12,500.00
PROPOSED AJE # 7
a/p 1,179,537.50
adv from of 1,179,537.50
PROPOSED AJE # 8
prepaid items 74,003.94 #NAME?
adv 74,003.94 #NAME?
#NAME?
PROPOSED AEJ # 9
deferred income tax 79,320.73
retained ea 79,320.73
PROPOSED AJE # 10
Depreciatio 228,981.74
acc dep 228,981.74
PROPOSED AJE # 11
taxes 20,773.60
miscellane 20,773.60
PROPOSED AJE # 12
investment 740,000.00
advances 740,000.00
interest
191.43
1,359.25
1,550.68
Schedule of VAT Transactions 2011
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
Jan - -
Feb - -
Mar 111,000.00 111,000.00 13,320.00
Apr - -
May - -
Jun 111,000.00 111,000.00 13,320.00
Jul - -
Aug - -
Sep 111,000.00 111,000.00 13,320.00
Oct - -
Nov - -
Dec 111,000.00 111,000.00 13,320.00
- - -
- - -
- - 4,440.00 ( 8,880.00)
- - ( 8,880.00)
- - ( 8,880.00)
- - 4,440.00 ( 17,760.00)
- - ( 17,760.00)
- - ( 17,760.00)
- - 4,440.00 ( 26,640.00)
- - ( 26,640.00)
- - ( 26,640.00)
- - 4,440.00 ( 35,520.00)
- - - 17,760.00
- - 17,760.00
property and equpment
2011
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P - P
Additions - #NAME?
Disposal/retirement - - -
At end of year 250,000 174,568 173,453 #NAME?
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 62,500 174,568 173,453 -
Depreciation and amortization 12,500
Disposals/retirement - - -
Impairment Loss - - -
At end of year 75,000 174,568 173,453
2010
Transportation Construction in
Building Equipment Miscellaneous Progress
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P P
Additions - -
Disposal/retirement - - -
At end of year 250,000 174,568 173,453
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 50,000 174,568 157,069
Depreciation and amortization 12,500 16,384
Disposals/retirement - - -
Impairment Loss - - -
At end of year 62,500 174,568 173,453
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 37,500 174,568 122,378 334,446
Depreciation and amortization 12,500 34,691 47,191
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 50,000 174,568 157,069 381,637
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 25,000 174,568 115,378 314,946
Depreciation and amortization 12,500 7,000 19,500
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 37,500 174,568 122,378 334,446
investment property
2010
2010
2009
2008
dcf = cf / (1+r1)
rate 6.65% 6.55%
cost 2,500,000.00
share in improovment
0.27 0.00 0.00
2,500,000.00
summary of transaction
sales 1300000
cost 1,255,656.11
adjustment on cost (598,981.74)
656,674.37
643,325.63
Total
598,021
#NAME?
-
#NAME?
410,521
12,500
-
-
423,021
#NAME?
Total
598,021
-
-
598,021
381,637
28,884
-
-
410,521
187,500
2007
2008 2007
Carrying Value Fair Value Carrying Value Fair Value Carrying Value
- - 234,816
- -
Err:509 - 1,100,000
- -
Err:509 P #NAME? P 678,714 P 678,714 P 1,446,632 P
#NAME? P #NAME? P (0) P (0) P
(0) (0) 0 0
#NAME? #NAME? 1,800 1,800
#NAME? #NAME? 6,146,433 6,146,433 9,846,433
#NAME? P #NAME? P 6,148,233 P 6,148,233 P 9,846,433 P
land area
2,117.48
54,600.00
143,803.00
221.00
200,741.48 20.07
Fair Value
111,816
234,816
-
1,100,000
-
1,446,632
-
-
9,846,433
9,846,433
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
Taxable ###
Rate ###
###
or
MCIT
Gross profit ###
Rate ###
###
Future Years
### 2012 ### 2014
Future
taxable
(Deductible)
Tax Deferred tax
Temporary Diferrence Amounts
Rate (A Liablities
Installment sales
MCIT ### 100%###
NOLCO ### 30%###
Depreciation
Warranty costs
Totals ### ### -
JOURNAL ENTRY
income tax exp[ense ### Err:509
deferred tax asset ### Err:509
income tax payable #REF!
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (A Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2011 2010
Deferred tax assets on
MCIT - 3,693
NOLCO P - P 75,628
- 79,321
reconciliation
2010 2010
Provision (benefit from) for income tax at statutory tax rates P #NAME? P (75,628)
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax - 3,693
Movements in temporary differences 79,321 (3,693)
Provision for income tax P #NAME? P (75,628)
#NAME? ###
#NAME? 0.00
ure Years
2015 Total
-
-
- -
-
-
elated Balance
heet Accounts Classification
stallment receivables Current
Non current
Warranty Obligations Current
2,009.00
-
P -
-
-
-
P -
2,009.00
P ###
3,789.79
-
P ###
MCIT
NOLCO
Inception Year Amount Applied Balance Expiry Year
2010 P #NAME? P P #NAME? 2013
-
P #NAME? P - P #NAME?
#NAME?
Schedule of VAT Transactions 2010
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 3,936.00 -
- - 3,936.00 -
- - 4,416.00 -
- - 4,416.00 -
- - 4,416.00 -
- - 4,416.00 -
- - 4,416.00 -
- - 4,416.00 -
- - 4,416.00 -
- - - 53,616.00
- - 53,616.00
PROPOSED AJE # 1
income 446,800.00
withhilding tax 17,480.00
output vat 41,952.00
cash 471,272.00
488,752.00 488,752.00
-
PROPOSED AJE # 2
Cash 1,263,756.99
miscellaneous 33,490.42
advances 396,380.00
Insurance 6,270.00
Light & Water 27,441.54
Janitorial -
Prof. Fee 42,000.00
Taxes&Lic. 58,877.39
Representation 112,518.00
Telephone 12,478.14
Dues&Sub. 64,434.00
Repairs& Mtnce 53,807.25
Royalties -
Travel & trans 3,696.50
Supplies 4,289.75
Gas& Oil 4,630.00
cash fund 366,800.00
tax wsithhlding -
OUTPUTvat 54,144.00
survey fee 8,000.00
christmas gift 14,500.00
to record disbursement
PROPOSED AJE # 3
cash 38,362.43
interest 249.80
advances 38,112.63
PROPOSED AJE # 4
accounts receivable 396,380.00
accounts payable 7,048.00
advances 403,428.00
PROPOSED AJE # 5
cash 329,964.56
advances 329,964.56
PROPOSED AJE # 7
income tax payable 3,790.00
representation 3,790.00
to reclass
PROPOSED AJE # 8
deprecation 257,865.74
accumulated deprecaition 257,865.74
to take up deprecation
PROPOSED AJE # 9
professional 8,000.00
miscellanoes 8,000.00
to reclass survey fee
PROPOSED AJE # 10
advances from stockholders 1,100,000.00
customers' deposit 1,100,000.00
to record downpayment for conditional sale of
lot to shekinah grace school
PROPOSED AJE # 11
afs 740,000.00
advances from stockholders 740,000.00
to record investment in stocks
gemcor
PROPOSED AJE # 12
advances 6,000.00
customers deposit 6,000.00
mary jane bito
customers deposit
PROPOSED AJE # 13
income tax exp[ense 3,692.89 79,320.73
deferred tax asset 79,320.73
income tax payable 3,692.89
TO TAKE up provisonf or income tax
property and equpment
2010
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 50,000 174,568 157,069 381,637
Depreciation and amortization 12,500 16,384 28,884
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 62,500 174,568 173,453 410,521
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 37,500 174,568 122,378 334,446
Depreciation and amortization 12,500 34,691 47,191
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 50,000 174,568 157,069 381,637
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 25,000 174,568 115,378 314,946
Depreciation and amortization 12,500 7,000 19,500
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 37,500 174,568 122,378 334,446
investment property
2010
2009
2008
P 5,144 P - P
2010 2009
Carrying Value Fair Value Carrying Value Fair Value
Financial Assets
Cash P #NAME? P #NAME? P #NAME? P #NAME?
Receivables
Trade - -
Others - -
Available for sale investment 740,000 Err:509
Refundable deposits - -
P #NAME? P #NAME? P Err:509 P #NAME?
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable P #NAME? P #NAME? P #NAME? P #NAME?
Income tax (0) (0) (0) (0)
Customers' deposit #NAME? #NAME? #NAME? #NAME?
Due to related parties #NAME? #NAME? #NAME? #NAME?
P #NAME? P #NAME? P #NAME? P #NAME?
dcf = cf / (1+r1)
rate 6.55% 6.13%
2008 2007
Carrying Value Fair Value Carrying Value Fair Value
P 678,714 P 678,714 P 111,816 P 111,816
- 234,816 234,816
- -
- 1,100,000 1,100,000
- -
P 678,714 P 678,714 P 1,446,632 P 1,446,632
P (0) P (0) P -
0 0 -
1,800 1,800
6,146,433 6,146,433 9,846,433 9,846,433
P 6,148,233 P 6,148,233 P 9,846,433 P 9,846,433
6.66% 5.70%
MCIT
NOLCO
Inception Year Amount Applied Balance Expiry Year
2010 P #NAME? P P #NAME? 2013
-
P #NAME? P - P #NAME?
#NAME?
DETERMINE TAXABLE INCOME
Permanent differences:
Less Non taxable revenue
Add Nondeductible expenses
Temporary differences:
Differential depreciation tax vs financial
Taxable ###
Rate ###
###
or
MCIT
Gross profit ###
Rate ###
###
Future Years
### 2011 ### 2013
Future
taxable
(Deductible)
Tax Deferred tax
Temporary Diferrence Amounts
Rate (A Liablities
Installment sales
MCIT ### 100%###
NOLCO ### 30%###
Depreciation
Warranty costs
Totals ### ### -
JOURNAL ENTRY
income tax exp[ense ### #NAME?
deferred tax asset ###
income tax payable #NAME?
deferred tax liability -
Resulting
Deferred Tax Related Balance
Temporary differences (A Liability Sheet Accounts
Installment sales Installment receivables
depreciation Plant assets
warranty costs Warranty Obligations
BALANCE SHEET PRESENTIATON
Current liabilities
Income tax payable
Deferred tax liability - current
Net income
2010 2009
Deferred tax assets on
MCIT #NAME? -
NOLCO P #NAME? P -
#NAME? -
reconciliation
2010 2009
Provision (benefit from) for income tax at statutory tax rates P #NAME? P #NAME?
Adjustments resulting from:
Provision for deferred income tax liability on income on investment in associates
Minimum corporate income tax #NAME? 3,790
Movements in temporary differences (3,693) -
Provision for income tax P #NAME? P #NAME?
#NAME?
#NAME?
ure Years
2014 Total
-
-
- -
#NAME?
#NAME?
elated Balance
heet Accounts Classification
stallment receivables Current
Non current
Warranty Obligations Current
property and equpment
2009
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 37,500 174,568 122,378 334,446
Depreciation and amortization 12,500 34,691 47,191
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 50,000 174,568 157,069 381,637
2008
Transportation
Building Equipment Miscellaneous Total
Cost
At beginning of year P 250,000 P 174,568 P 173,453 P 598,021
Additions - - -
Disposal/retirement - - - -
At end of year 250,000 174,568 173,453 598,021
Accumulated Depreciation, Amortization
and Impairment Loss
At beginning of year 25,000 174,568 115,378 314,946
Depreciation and amortization 12,500 7,000 19,500
Disposals/retirement - - - -
Impairment Loss - - - -
At end of year 37,500 174,568 122,378 334,446
2009
2008
P 5,144 P - P
2009 2008
Carrying Value Fair Value Carrying Value Fair Value
Financial Assets
Cash P #NAME? P #NAME? P 678,714 P 678,714
Receivables
Trade - -
Others - -
Available for sale investment Err:509 -
Refundable deposits - -
P Err:509 P #NAME? P 678,714 P 678,714
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable P #NAME? P #NAME? P (0) P (0)
Income tax (0) (0) 0 0
Customers' deposit #NAME? #NAME? 1,800 1,800
Due to related parties #NAME? #NAME? 6,146,433 6,146,433
P #NAME? P #NAME? P 6,148,233 P 6,148,233
dcf = cf / (1+r1)
rate 6.13% 6.66%
2007
Carrying Value Fair Value
P 111,816 P 111,816
234,816 234,816
-
1,100,000 1,100,000
-
P 1,446,632 P 1,446,632
P -
-
9,846,433 9,846,433
P 9,846,433 P 9,846,433
5.70%
details of allowable representation expense
q1 -
q2 -
q3 -
1604e
professional fee 41,000.00
inventory 130,393.30
2307 - 2009
sual
q1 3,750.00 75,000.00
q2 3,750.00 75,000.00
q3 3,750.00 75,000.00
q4 3,750.00 75,000.00
billion
q1 255.00 5,100.00
q2 270.00 5,400.00
q3 270.00 5,400.00
q4 270.00 5,400.00
16,065.00 321,300.00
accruals at 2009
withholding 200.00
vat 4,944.00
5,144.00
others Total purchases Input VAT Paid Running VAT 70% cap final running vat
- - 4,188.00 -
- - 4,224.00 -
- - 4,224.00 -
- - 4,224.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - 4,944.00 -
- - - 56,412.00
- - 56,412.00
PROPOSED AJE # 1
cash 506918.5
ap 506918.5
cash balance
093-301127603-2 63162.58
7-002-03954-7 41813.55
219-10-0000392-0 0
01-000-0042 7223.36
112199.49
PROPOSED AJE # 2
impairment 18893.7
inventory 18893.7
to record impairment
PROPOSED AJE # 3
income 25000
ap 25000
PROPOSED AJE # 4
depreciati 47191
accumulated 47191
depreciaiton of property
PROPOSED AJE # 5
depreciatio 228982
accumulated 228982
depreciation of investment property
PROPOSED AJE # 6
proviion cu 3789.79
income tax 3789.79
to take up mcit
PROPOSED AJE # 7
defered in #NAME?
benefit #NAME?
PROPOSED AJE # 8
prepaid 12275.21
ap 12275.21
PROPOSED AJE # 9
retained ea 82756
deferred income tax 82756
to derecognize deferred
PROPOSED AJE # 10
ap 559,702.12
advacnes fr 559,702.12
to offset
PROPOSED AJE # 11
representation 112000
miscellane 112000
reclass
AFA DEVELOPMENT CORPORATION
SCHEDULE OF TAXES AND LICENSES
FOR THE YEAR ENDED DECEMBER 31, 2008
OTHERS
Motor vehicle registration fees
Others
(The above does not include taxes charged directly to cost of sales)
671,778.36
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P441,813.70 #NAME?
Normal computation - -
P #NAME?
fut
carrying ass
ASSETS/LIABILITIES Tax amount am
PROPOSED AJE # 5
deferred income tax liability #NAME?
retained earnings ###
2009
Deferred tax assets on
Allowance for doubtful accounts P - P
normal
mcit
payments
prior years overpayment
future
deductible DIFFERENCE
amount temp permanent rate
#NAME? #NAME?
- -
- -
- -
#NAME? #NAME?
- -
#NAME? #NAME?
- -
#NAME? #NAME?
- -
- -
- -
- -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
- -
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
- -
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
- -
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
671,778.36 235,122.43
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#NAME? #NAME?
#NAME?
2008 2007
- P -
- P -
2008 2007
#NAME? P #NAME?
(235,122) -
(415,490)
#NAME? P #NAME?
#NAME? #NAME?
(872) -
#NAME? #NAME?
#NAME?
#NAME?
16,038.68
#NAME?
#NAME?
#NAME?
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
- - - - -
Err:509 Err:509
- 54,000.00 15,500.00 - -
804,946.90 ( 375,542.11) 40,000.00 223,829.01 627,567.50
5
Restituto R. Adoremus, cpa's
5
Restituto R. Adoremus, cpa's
- - ( 800,000.00) 3,115,374.19
- ( 6,850,000.00) 5,950,000.00 400,000.00
22,000.00 -
100,000.00 ( 6,362,821.82) 5,095,589.80 4,045,481.90
5
Restituto R. Adoremus, cpa's
5
fut future
carrying ass deductible DIFFERENCE
ASSETS/LIABILITIES Tax amount am amount temp
PROPOSED AJE # 5
deferred income tax liability #NAME?
retained earnings ###
2008 2007
Deferred tax assets on
Allowance for doubtful accounts P - P -
normal #NAME?
mcit #NAME?
payments 16,038.68
prior years overpayment #NAME?
#NAME?
#NAME?
permanent rate
#NAME? #NAME?
- -
- -
- -
#NAME? #NAME?
- -
#NAME? #NAME?
- -
#NAME? #NAME?
- -
- -
- -
- -
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
- -
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
#NAME? #NAME?
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
- -
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
- -
- -
#NAME? #NAME?
#NAME? #NAME?
#REF! #REF!
671,778.36 235,122.43
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#REF! #REF!
#NAME? #NAME?
#NAME?
AFA DEVELOPMENT CORPORATION
SCHEDULE OF TAXES AND LICENSES
FOR THE YEAR ENDED DECEMBER 31, 2008
OTHERS
Motor vehicle registration fees
Others
(The above does not include taxes charged directly to cost of sales)
671,778.36
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P441,813.70 #NAME?
Normal computation - -
P #NAME?
FOR DISCLOSURE
No of Years
Inventory
2008 2007
At cost
Merchandise P #NAME? P #NAME?
P #NAME? P #NAME?
2008 2007
Trade payables
Accruals
Withholding and others
Employement benefits
2008 2007
Direct labor P P
Salaries and wages
Administration related
Social security, philhealth and pagibig contributions
Cost related
Administration related
Other employees benefit
Cost related
Administration related
P - P -
for disclosure property
January 1, Disposal/
2008 Addition retirement
At Cost:
Cost
Transportation equipment P 174,568 P P P
Bulding 250,000
Other equipment 173,453
598,021 - -
Accumulated depreciation
Transportation equipment 174,568
Bulding 25,000 12,500
Other equipment 115,378 7,000
314,946 19,500 -
January 1, Disposal/
2,007 Addition retirement
At Cost:
Cost
Transportation equipment P 174,568 P P P
Bulding 250,000
Other equipment 138,453 35,000
563,021 35,000 -
Accumulated depreciation
Transportation equipment 174,568
Bulding 12,500 12,500
Other equipment 114,511 867
301,579 13,367 -
2008 2007
Debt ratio
Debt to equity ratio
2008 2007
Carrying Value Fair Value Carrying Value
Financial Assets
Cash P #NAME? P #NAME? P #NAME? P
Receivables
Trade - #NAME?
Others -
Available for sale investment #NAME? #NAME?
Refundable deposits -
#NAME? #NAME?### #NAME?###
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable #NAME? #NAME?
Income tax #NAME? #NAME?
Customers' deposit #NAME? #NAME?
Due to related parties #NAME? #NAME? #NAME?
P #NAME? P #NAME? P #NAME? P
dcf = cf / (1+r1)
rate 6.66% 5.70%
net - #NAME?
Investment property
January 1, Disposal/
2008 Addition retirement
At Cost:
Cost
Land 6,717,615
Bulding P 4,579,635 P P P
11,297,250 - -
Accumulated depreciation
Land -
Bulding - 228,982
- 228,982 -
January 1, Disposal/
2,007 Addition retirement
At Cost:
Cost
Land 6,717,615
Bulding P 4,579,635 P P P
11,297,250 - -
Accumulated depreciation
Land
Bulding
- - -
1,100,000.00
capital gain 671,778.36
to adjust 1,657,439.30
Reclassification December 31
Transfer 2008
P P 174,568 174,568.20
250,000 #NAME?
173,453 173,453.45
- 598,021 #NAME?
174,568 174,568.20
37,500 37,500.00
122,378 114,510.75
- 334,446 326,579
Reclassification December 31
Transfer 2,007
P P 174,568 174,568.20 -
250,000 #NAME? #NAME?
173,453 173,453.45 (0.45)
- 598,021 #NAME?
174,568
25,000
115,378
- 314,946 -
- P 283,075 #NAME?
2007
Fair Value
#NAME?
#NAME?
-
#NAME?
-
#NAME?
-
-
#NAME?
#NAME?
Reclassification December 31
Transfer 2008
6,717,615
P P 4,579,635 -
- 11,297,250 -
-
228,982
- 228,982 -
- P 11,068,268 -
Reclassification December 31
Transfer 2,007
6,717,615
P P 4,579,635 -
- 11,297,250 -
-
-
- - -
- P 11,297,250 -
land area
2,117.48
54,600.00
143,803.00
221.00
200,741.48 20.07
FOR DISCLOSURE
No of Years
Inventory
2008 2007
At cost
Merchandise P 149,287 P 165,919
P 149,287 P 165,919
2008 2007
Trade payables
Accruals
Withholding and others
Employement benefits
2008 2007
Direct labor P P
Salaries and wages
Administration related
Social security, philhealth and pagibig contributions
Cost related
Administration related
Other employees benefit
Cost related
Administration related
P - P -
for disclosure property
January 1, Disposal/
2008 Addition retirement
At Cost:
Cost
Transportation equipment P 174,568 P P P
Bulding 250,000
Other equipment 173,453
598,021 - -
Accumulated depreciation
Transportation equipment 174,568
Bulding 25,000 12,500
Other equipment 115,378 7,000
314,946 19,500 -
January 1, Disposal/
2,007 Addition retirement
At Cost:
Cost
Transportation equipment P 174,568 P P P
Bulding 250,000
Other equipment 138,453 35,000
563,021 35,000 -
Accumulated depreciation
Transportation equipment 174,568
Bulding 12,500 12,500
Other equipment 114,511 867
301,579 13,367 -
2008 2007
Debt ratio
Debt to equity ratio
2008 2007
Carrying Value Fair Value Carrying Value
Financial Assets
Cash P 677,842 P 677,842 P 111,816 P
Receivables
Trade - 234,816
Others -
Available for sale investment - 1,100,000
Refundable deposits -
677,842 677,842### 1,446,632###
Financial Liabilities
Financial liabilities carried at amortized costs:
Accounts payable (0) (0)
Income tax 0 0
Due to related parties 6,146,433 6,146,433 9,846,433
P 6,146,433 P 6,146,433 P 9,846,433 P
dcf = cf / (1+r1)
rate 6.66% 5.70%
net - 234,816
Investment property
January 1, Disposal/
2008 Addition retirement
At Cost:
Cost
Land 6,717,615
Bulding P 4,579,635 P P P
11,297,250 - -
Accumulated depreciation
Land -
Bulding - 228,982
- 228,982 -
Accumulated depreciation
Land
Bulding
- - -
1,100,000.00
capital gain 671,778.36
to adjust 1,657,439.30
Reclassification December 31
Transfer 2008
P P 174,568 174,568.20
250,000 250,000.00
173,453 173,453.45
- 598,021 598,022
174,568 174,568.20
37,500 37,500.00
122,378 114,510.75
- 334,446 326,579
Reclassification December 31
Transfer 2,007
P P 174,568 174,568.20 -
250,000 250,000.00 -
173,453 173,453.45 (0.45)
- 598,021 598,022
174,568
25,000
115,378
- 314,946 -
- P 283,075 598,022
2007
Fair Value
111,816
234,816
-
1,100,000
-
1,446,632
-
-
9,846,433
9,846,433
December 31
2008
6,717,615
4,579,635 -
11,297,250 -
-
228,982
228,982 -
11,068,268 -
December 31
2,007
6,717,615
4,579,635 -
11,297,250 -
-
-
- -
11,297,250 -
land area
2,117.48
54,600.00
143,803.00
221.00
200,741.48 20.07
PROPOSED AJE # 1
sales of goods 60,885.00
cash 60,885.00
to take up sales of goods
PROPOSED AJE # 2
inventory 16,631.80
cost of sales 16,631.80
to take up defective books
PROPOSED AJE # 3
income tax 16,038.68
a/p 16,038.68
to take up 2307 for 2008
PROPOSED AJE # 4
cash 42,935.61
advances 42,935.61
to set up bank balances
as recorded 127,346.00
per bank recores 170,281.61
42,935.61
PROPOSED AJE # 5
ar 833,249.00
ap 75,469.00
advances 908,718.00
PROPOSED AJE # 6
loss on sale 400,000.00
advances 700,000.00
investment in subsideary 1,100,000.00
cost 1,100,000.00
sp 700,000.00
400,000.00
PROPOSED AJE # 7
provision for #NAME?
income tax #NAME?
basis exclusing capital loss #NAME?
35% #NAME?
PROPOSED AJE # 8
representation 105,000.00
broker's fee 105,000.00
to reclasify
PROPOSED AJE # 9
depreciation 19,500.00
accumulated depreciation 19,500.00
PROPOSED AJE # 10
investment in property
inestment property land
invesmtne property building
PROPOSED AJE # 11
depreciation 228,981.74
acumulated - invetment prop 228,981.74
PROPOSED AJE # 12
sale of inves 700,000.00 700000
loss on sale 400,000.00 400000
advances 700,000.00 700000
advances 400,000.00 400000
PROPOSED AJE # 13
gain on sale 671,778.36
brokers 105,000.00
advances 776,778.36
PROPOSED AJE # 14
prepaid 12,172.04
income tax 13,044.00
cash 871.96
PROPOSED AJE # 15
income tax 871.85
proviison- cu 871.85
current liability
PROPOSED AJE # 16
prepaid 871.85
income tax 871.85
PROPOSED AJE # 17
prepaid 871.85
cash 871.85
Schedule of VAT Transactions 2008
Sales Sales Purchase Importation Purchase not
Vatable zero rated total sales Output VAT Capital Non Capital Capital Non Capital Services qualified for VAT
Jan - -
Feb - -
Mar 102,000.00 102,000.00 12,240.00
Apr - -
May - -
Jun 162,885.00 162,885.00 19,546.20
Jul - -
Aug - -
Sep 102,900.00 102,900.00 12,348.00
Oct - -
Nov - -
Dec 104,700.00 104,700.00 12,564.00
q1 -
q2 -
q3 2,681.69
2,681.69
1604e
professional fee 24,000.00
inventory 130,393.30
others Total purchases Input VAT Paid Running VAT 70% cap final running vat
- - -
- - 8,160.00 8,160.00
- - 4,080.00 -
- - -
- - 8,160.00 8,160.00
- - 11,386.20 -
- - -
- - 8,160.00 8,160.00
- - 4,188.00 -
- - -
- - 8,376.00 8,376.00
- - 4,188.00 -
- - - 56,698.20
- - 56,698.20
2007 2006
2007 2006
P #NAME? P #NAME?
2007 2006
Allowance for P P
MCIT
P - P -
Restituto R. Adoremus cpa's
100
100
PROPOSED AJE # 1
cash 56,692.93
advances 56,692.93
to record cash
mbtc 13,663.17
rbs 14,802.58
pbcom 39,055.83
metro 44,294.55
111,816.13
PROPOSED AJE # 2
a/r 160,013.75
advances 160,013.75
to take up receivables
PROPOSED AJE # 3
sales 36,950.00
rental income 66,395.00
advances 103,345.00
to take up adjusts
per audit per books adj
rental 408,000.00 341,605.00 66,395.00
sale of boo 36,950.00 - 36,950.00
PROPOSED AJE # 4
Cost #NAME? 22,706.75
inventory #NAME?
advances 22,706.75
to take up cost of sales
PROPOSED AJE # 5
Prepaid items 7,229.14
advances 7,229.14
to take up prepaid itmes
71,952.89
PROPOSED AJE # 6
depreciati 10,449.96
accumulated deprectiaiton 10,449.96
to take up depreciation
PROPOSED AJE # 7
a/p 19,740.00
advances 19,740.00
to take up ap
PROPOSED AJE # 8
professiona 5,900.00
advances 5,900.00
to take up profewsional fee
PROPOSED AJE # 9
Rent, light 2,207.51
professiona 4,000.00
a/p 12,053.75 101,502.12
representa 21,250.00
telephone 552.86
transport 1,089.00
supplies 300.00
gas and oil 500.00
repairs 21,250.00
janitorial 300.00
equipment 35,000.00
miscellane 2,999.00
to take up june to july expenses
PROPOSED AJE # 10
representation 125,000.00
advances f 125,000.00
to adjust representation within limits
PROPOSED AJE # 11
Depreciati 2,916.67
accumulated depreciation 2,916.67
to take up deprecition for best tank
PROPOSED AJE # 12
land and estimated 11,297,249.38
investment 11,297,249.38
PROPOSED AJE # 13
investmtnet 100,000.00
advacnes 100,000.00
to take up reclassification
PROPOSED AJE # 14
provision #NAME?
income tax #NAME? #NAME?
prepaied #NAME?
PROPOSED AJE # 15
prepaid 9,103.02
advances 9,103.02
2007 2006 2005
Schedule of depreciation
Transportation equipment
Other equipment 13,367 10,450 10,450
2007 data
COMPUTATIO N OF COST
Beginning #NAME?
purchases
available #NAME?
ending 165919.1
cost #NAME?
1702qq payment
q1 0
q2 0
q3 0
2307-2007
15,182.33
Jan - -
Feb - -
Mar 102,000.00 102,000.00 12,240.00
Apr - -
May - -
Jun 102,000.00 27,650.00 129,650.00 15,558.00
Jul - -
Aug - -
Sep 102,000.00 102,000.00 12,240.00
Oct - -
Nov - -
Dec 102,000.00 9,300.00 111,300.00 13,356.00
rental
Sales merchandsie total Output VAT Importation Purchases
quarterly
q1 91,000.00 12,906.60 - -
q2 79,500.00 30,895.80 - -
q3 87,000.00 12,780.00 - -
q4 100,500.00 15,690.00 - -
358,000.00 72,272.40 - -
1604e
rra 39000 3,900.00
inventory 200231.25
2004 2003 2002
-
-
-
-
-
-
-
-
-
-
-
-
- - - - - - -
Importation
Non Capital Capital Non Capital Services Total purchases
- - - - - -
- - - - - -
- - - - - -
- - - - - -
- - - - - -
non purchase should have
expense w/ vat Input VAT Running VAT VAT Paid paid sales rent
- - 3,300.00 33,000.00
- - 4,524.00 31,500.00
- - 5,082.60 26,500.00
- - 8,688.00 26,500.00
- - 8,619.00 26,500.00
- - 13,588.80 26,500.00
- - 5,028.00 26,500.00
- - 3,672.00 26,500.00
- - 4,080.00 34,000.00
- - 6,042.00
- - 5,748.00
- - 3,900.00
- - 72,272.40 - 257,500.00
- - - 12,906.60
- - - 30,895.80
- - - 12,780.00
- - - 15,690.00
- - 72,272.40
2001 2000 1999
34,913.64 34,913.64
5,812.50 13,790.69 13,790.69
46,479.08 46,479.08
Input VAT Paid Running VAT 70% cap final running vat
- - -
- - -
- 12,240.00 - -
- - -
- - -
- 15,558.00 -
- -
- -
- 12,240.00 -
- -
- -
- 13,356.00 -
- 53,394.00
257,500.00
1998 1997 1996 1995 1994
other equipment
1st part
2nd part
final running vat
2007 2006
depreciati accu dep net book 2008 accu dep net book 2008
#NAME? #NAME?
#NAME? #NAME?
other equipment
138,453 138,453 -
35,000
173,453
PROPOSED AJE # 1
A/R 93,498.50 BANK BALANCES
cash 351,410.14 metro saving 135,268.66
inventories 91,090.50 metro curren 42,500.00
salaries 2,000.00 pbcom 39,324.94
capital stock 100.00 rural bank 33,596.18
a/p 563,441.14
prepaid 25,542.00 250,689.78
to reflect actual balances
PROPOSED AJE # 2
A/P 22,268.09
ADVANCES 22,268.09
TO Correct ap
PROPOSED AJE # 3
sales 54,034.50
income from rent 74,500.00
advances 20,465.50
to correct sales
PROPOSED AJE #4
depreciaiton 10,449.96
accumulated depreciaiton 10,449.96
to set up depreciation
PROPOSED AJE # 5
cost of sales 25,009.25
miscellaelus 25,009.25
to tae up cost of sales
PROPOSED AJE # 6
representation 110,500.00
advances 110,500.00
to reclassify
PROPOSED AJE # 7
provision fo #NAME?
deferred income tax asset 2,988.49
deferred income tax asset Err:509
prepaid items #NAME?
to take up income tax payable
statutory #NAME?
mcit #NAME?
2%
#NAME?
PROPOSED AJE # 8
prepaid 15,879.96
advances 15,879.96
to reclassify accounts
PROPOSED AJE # 9
income tax 6,208.06
advances 6,208.06
PROPOSED AJE # 10
prepaid 2,988.48
advances 2,988.48
2006 2005 2004
Schedule of depreciation
Transportation equipment
Other equipment 10,450 10,450 10,450
2005 data
rental
Sales merchandsie total Output VAT Importation Purchases
quarterly
q1 91,000.00 12,906.60 - -
q2 79,500.00 30,895.80 - -
q3 87,000.00 12,780.00 - -
q4 100,500.00 15,690.00 - -
358,000.00 72,272.40 - -
1702q sales deduction taxable credits
q1 113055 200,694.16 (87,639.16) 94,327.88
q2 257465 199,154.35 (29,328.51) 94,327.88
q3 106500 188,461.26 (111,289.77) 94,327.88
1604e
rra 39000 3,900.00
inventory 200231.25
2003 2002 2001
- - 3,300.00 33,000.00
- - 4,524.00 31,500.00
- - 5,082.60 26,500.00
- - 8,688.00 26,500.00
- - 8,619.00 26,500.00
- - 13,588.80 26,500.00
- - 5,028.00 26,500.00
- - 3,672.00 26,500.00
- - 4,080.00 34,000.00
- - 6,042.00
- - 5,748.00
- - 3,900.00
- - 72,272.40 - 257,500.00
- - - 12,906.60
- - - 30,895.80
- - - 12,780.00
- - - 15,690.00
- - 72,272.40
2000 1999 1998 1997 1996
34,913.64 34,913.64
13,790.69 13,790.69
48,704.33 48,704.33
46,479.08 46,479.08
33,000.00
31,500.00
26,500.00
26,500.00
26,500.00
26,500.00
26,500.00
26,500.00
34,000.00
-
-
-
257,500.00
1995 1994
174,568.20 P 174,568.20
46,953.45 46,953.45
221,521.65 221,521.65
168,151.28 159,378.08
53,370.37 P 62,143.57
AFA DEVELOPMENT CORPORATION
SCHEDULE OF TAXES AND LICENSES
FOR THE YEAR ENDED DECEMBER 31, 2006
OTHERS
Motor vehicle registration fees
Others
(The above does not include taxes charged directly to cost of sales)
9,339.03
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P443,597.74 #NAME?
Normal computation - 32% of P144,406.64 #NAME?
P #NAME?
q1 apr may jun jul aug
#NAME? #NAME? - - - - -
#NAME?
spe oct nov dec total disubrsments
Schedule of depreciation
Transportation equipment
Other equipment 10,450 10,450 10,449.96
2005 data
rental
Sales merchandsie total Output VAT Importation Purchases
quarterly
q1 102,500.00 10,250.00 - -
q2 109,425.00 10,942.50 - -
q3 104,575.00 18,551.00 - -
q4 93,000.00 25,900.50 - -
409,500.00 65,644.00 - -
analysis of compensation
13th month sss taxalbe
no previous 11,750.00 4,016.90 135,483.10 151,250.00
royalty tax
final withholding 38,438.50 3,843.85
expanded
professional fee 36,000.00 3,600.00
prime contractor 20,000.00 400.00
rent 324,500.00
sales 20,238.25
344,738.25
-
1-3 q
q4
-
-
11,633,050.32
Acquisition 843,657.37 documentation?
improvement 804,946.90
1604cf
re sss
13th month sss income 3000 1800
emeployee 15708.35 141582.7 5000 2000.4
4000 300
3708.35 816.9
157291.05
-
2002 2001 2000
34,913.64
10,449.96 5,812.50 13,790.69
- - 3,600.00 36,000.00
- - 3,400.00 34,000.00
- - 3,250.00 32,500.00
- - 3,357.50 33,575.00
- - 3,442.50 34,425.00
- - 4,142.50 41,425.00
- - 4,157.50 41,575.00
- - 6,654.00 35,040.00 31,500.00
- - 7,739.50 45,895.00 31,500.00
- - 12,357.00 92,070.00 31,500.00
- - 10,543.50 73,935.00 31,500.00
- - 3,000.00 30,000.00
- - - 10,250.00
- - - 10,942.50
- - - 18,551.00
- - - 25,900.50
- - 65,644.00
Q2 Q3 Q4 TOTAL
- - - 100.00
- - 113.43 113.43
- - 37.59 37.59
- - 47.60 47.60
750.00 500.00 - 1,750.00
3,500.00 3,750.00 3,750.00 14,375.00
16,225.00
198.62
16,423.62
-
12,475.00
3,948.62
16,423.62
-
27 28 35 36
180,000.00 180,000.00
436,000.00 436,000.00
sss medicare
150 192 50
166.7 313.3 62.5
25 252.7 50
68.075 222.3 50
980.3 212.5
1192.8
sss contribution 14313.6
1999 1998 1997 1996 1995
34,913.64
13,790.69
48,704.33
46,479.08
36,000.00
34,000.00
32,500.00
33,575.00
34,425.00
41,425.00
41,575.00
66,540.00
77,395.00
123,570.00
105,435.00
30,000.00
656,440.00
1994
174,568.20
46,953.45
221,521.65
159,378.08
62,143.57
PROPOSED AJE # 2005-01
sales 37,041.00
rent 3,400.00
cash 40,441.00
to take up sales reflected in vat return
Effect of
Interest income - - -
Deferred #NAME? - 13,736.02
2004 2004
Current
Deferred tax assets:
NOLCO
Inventory differential
Unrealized foreign exchange loss on short-term loans
Various allowances, accruals and others
Noncurrent
Deferred tax liabilities:
Excess of double declining over straight-line
method of depreciation and amortization
Capitalized interest, duties, and taxes on
property, plant and equipment deducted in advances and others
Less deferred tax assets:
MCIT - -
Unamortized past service pension cost
2005 2004
2005 computation
per computation #NAME? 124,558.38
prior year balance #NAME? #NAME?
2307 2004
rbs 13500 13500
cocoline 1250 1250
billion 600 600
afapi 1200 1200
withholding sale of l #NAME? 60,578.94
#NAME? #NAME?
#NAME? #NAME?
2002 2001
20,671.77 51,349.20
6,614.97 16,431.74
(667.15) (674.24)
12,128.13 -
18,075.95 15,757.50
903,797.33 329,398.70
18,075.95 6,587.97
5,947.81 15,757.50
12,128.13 -
2003 2002
Err:509 Err:509
2003 2001
-
2000 1999
#NAME? #NAME?
#NAME? #NAME?
#NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
Restituto R. Adoremus and Co., cpa's
RENTAL INCOM #VALUE! 390,500.00 377,500.00 527,600.00 488,800.00 512,800.00 #NAME? 317,200.00 365,250.00 514,500.00 486,000.00 119,402.49
OPERATING EXPENSES
Salaries and wag #VALUE! 157,291.05 120,500.00 205,750.00 149,020.50 220,800.00 180,000.00 - 288,000.00 288,000.00 178,000.00 24,000.00
Repairs and main 48,869.25 48,869.25 58,771.24 31,300.00 23,943.25 23,515.00 #NAME? 86,020.70 80,172.40 74,421.00 17,000.00 3,758.20
Taxes and license 25,934.67 25,934.67 83,596.08 144,130.36 98,698.78 #NAME? #NAME? 108,584.56 88,847.03 73,952.16 31,439.48 11,419.00
Professional fees 36,000.00 36,000.00 35,000.00 199,800.00 32,500.00 18,500.00 7,500.00 7,000.00 5,000.00 34,500.00 3,000.00 -
Dues and subscri 46,396.25 46,396.25 42,617.00 31,967.00 31,717.00 32,117.00 #NAME? 36,617.00 35,367.00 32,307.25 36,890.50 18,945.25
Insurance #NAME? 3,416.25 6,150.00 20,724.78 26,237.68 23,074.71 #NAME? 4,800.00 17,339.07 26,629.33 - 9,558.47
Light and water 12,000.00 12,000.00 12,000.00 25,456.93 3,161.00 2,114.00 3,428.53 14,451.27 16,954.22 17,697.66 12,000.00 9,600.00
Gas and oil 8,417.35 8,417.35 2,059.00 1,780.00 1,100.00 300.00
Employees benefi 2,500.00 2,500.00 17,500.00 88,000.00 4,875.00
Representation 12,000.00 12,000.00 - 14,803.35 20,000.00 36,000.00
Commission - 20,000.00 23,000.00
Brokers' fees -
Travel and transp 2,621.75 2,621.75 1,000.00 2,918.00 491.00 363.80 #NAME? 8,214.30 8,606.22 10,131.20 7,893.60 6,072.00
Depreciation (No #NAME? 10,449.96 10,449.96 10,449.96 5,812.50 - #NAME? 11,339.89 8,773.20 8,773.20 8,773.20 11,932.40
Postage, telepho 650.08 650.08 - 2,619.79 2,808.25 348.36 3,641.00 8,932.89 7,496.81 8,072.51 7,801.20 5,200.80
Office supplies 753.90 753.90 1,953.20 2,205.75 2,948.30 2,757.65 #NAME? 696.75 823.25 3,628.35 7,719.40 5,146.25
SSS and medicare #NAME? 14,313.60 5,794.50 798.00 1,620.00 700.00 3,609.60 - 3,609.60 3,609.60 2,622.60 1,635.60
Miscellaneous #VALUE! 3,640.95 8,108.93 24,009.68 14,624.55 #NAME? #NAME? 3,570.00 6,241.25 22,349.04 1,246.00 -
Total Expenses #NAME? 385,255.06 405,499.91 806,713.60 439,557.81 #NAME? #NAME? 290,227.36 567,230.05 604,071.30 314,385.98 107,267.97
INCOME FROM O #VALUE! 389,244.94 (27,999.91) 18,586.92 49,242.19 #NAME? #NAME? 26,972.64 ( 201,980.05) 120,428.70 171,614.02 12,134.52
INCOME BEFORE #VALUE! 389,244.94 (27,999.91) 20,671.77 51,349.20 #NAME? #NAME? 26,972.64 ( 198,295.84) 101,678.70 28,763.20 12,134.52
Provision for incom #NAME? 124,558.38 - 5,947.81 16,431.74 #NAME? #NAME? 9,170.70 - 35,587.55 10,067.12 4,247.08
NET INCOME (LO #VALUE! 264,686.56 (27,999.91) 14,723.96 34,917.46 #NAME? #NAME? 17,801.94 ( 198,295.84) 66,091.16 18,696.08 7,887.44
Retained earnings a #NAME? #NAME? #NAME? #NAME? #NAME? #NAME? (62,951.32) ( 80,753.26) 117,542.58 51,451.42 32,755.34 24,867.90
RETAINED EAR
P #VALUE! P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P #NAME? P ( 62,951.32) P ( 80,753.26) P 117,542.58 P 51,451.42 P 32,755.34
miscellaneous 3,416.25
insurance 3,416.25
xx
PROPOSED AJE # 2004-17
land and estimated 4,427,275.84
advances fro 368,405.21
deferred cha 3,058,870.63
investment in 1,000,000.00
Minimun corporate income tax
2004 2003 2002
Effect of
Interest income - - (667.15)
Deferred - 13,736.02 12,128.13
2004 2003
Current
Deferred tax assets:
NOLCO
Inventory differential
Unrealized foreign exchange loss on short-term loans
Various allowances, accruals and others
Noncurrent
Deferred tax liabilities:
Excess of double declining over straight-line
method of depreciation and amortization
Capitalized interest, duties, and taxes on
property, plant and equipment deducted in advances and others
Less deferred tax assets:
MCIT - Err:509
Unamortized past service pension cost
2004 2003
#NAME?
2001 2000
51,349.20 #NAME?
16,431.74 #NAME?
(674.24) #NAME?
- #NAME?
15,757.50 #NAME?
329,398.70 #NAME?
6,587.97 #NAME?
15,757.50 #NAME?
- #NAME?
2002
Err:509
2001
1999
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
2004 2003 2002
Schedule of depreciation
Transportation equipment
Other equipment 10,449.96 10,449.96 10,449.96
2004 data
non purchase
Sales Output VAT Importation Purchases expense w/ vat Input VAT
1,384,500.00 138,450.00 - - - -
11,633,050.32
Acquisition 843,657.37 documentation?
improvement 804,946.90
1604cf
re sss
13th month sss income 3000 1800
emeployee 15708.35 141582.7 5000 2000.4
4000 300
3708.35 816.9
157291.05
-
2001 2000 1999 1998
34,913.64 34,913.64
5,812.50 13,790.69 13,790.69
should have
Running VAT VAT Paid paid
- 3,100.00
- 3,600.00
- 3,600.00
1,050.00 3,600.00
(1,500.00)
(4,600.00)
(7,500.00)
(11,100.00)
(14,500.00)
(118,100.00)
(121,150.00)
(124,550.00)
(401,950.00) 13,900.00
- 10,300.00
(4,600.00) 3,600.00
(14,500.00) -
(124,550.00) -
13,900.00
27 28 35 36
180,000.00 180,000.00
436,000.00 436,000.00
ocumentation?
sss medicare
150 192 50
166.7 313.3 62.5
25 252.7 50
68.075 222.3 50
980.3 212.5
1192.8
sss contribution 14313.6
1997 1996 1995 1994
P #NAME? P #NAME? P
Schedule of depreciation
Transportation equipment
Other equipment 10,449.96 10,449.96
10,449.96 10,449.96
2002
11,633,050.32
Acquisition 843,657.37 documentation?
Ending 12,476,707.69
PROPOSED AJE # 3
Taxes and licenses 2,584.50
Miscellaneous 2,584.50
tottake up reclass of transfer tax
AJE # 4
Rent income
Accounts payable -
non purchase
Sales Output VAT Im Purchases expense w/ vat
Jan -
Feb -
Mar -
Apr -
May 25,500.00 2,550.00
Jun 25,500.00 2,550.00
Jul 25,500.00 2,550.00
Aug 31,000.00 3,100.00
Sep 36,000.00 3,600.00
Oct 36,000.00 3,600.00
Nov 36,000.00 3,600.00
Dec 336,000.00 33,600.00
quarterly
q1 - - ### - -
q2 51,000.00 5,100.00### - -
q3 92,500.00 9,250.00### - -
q4 408,000.00 40,800.00### - -
551,500.00 55,150.00### - -
34,913.64 34,913.64
5,812.50 13,790.69 13,790.69
should have
Input VAT Running VAT VAT Paid paid
- -
- -
- -
- -
- - 2,550.00
- - 2,550.00
- - 2,550.00
- - 3,100.00
- - 3,600.00
- - 3,600.00
- - 3,600.00
- - 33,600.00
- - 55,150.00
- - -
- - 5,100.00
- - 9,250.00
- - 40,800.00
- 55,150.00
1997 1996 1995 1994
OTHERS
Motor vehicle registration fees
Others 16,187.00
(The above does not include taxes charged directly to cost of sales)
2,084.85
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P903,797.33 18,075.95
Normal computation - 32% of P18,586.92 5,947.81
P 18,075.95
Minimun corporate income tax
2003 2002 2001
Effect of
Interest income - (667.15) (674.24)
Deferred 13,736.02 12,128.13 -
2002 2002
Adjustment # 1
Provision for income (8,959.97) 6,614.97
Income tax payable (8,959.97) 6,614.97
to recognize income based on accoutning income
2002 2002
Reconciliation
2002 2002
2002
AJE # 2
AJE # 3
Professional fees
Cost of sales - -
check others
new
2003 2002
Current
Deferred tax assets:
NOLCO
Inventory differential
Unrealized foreign exchange loss on short-term loans
Various allowances, accruals and others
Noncurrent
Deferred tax liabilities:
Excess of double declining over straight-line
method of depreciation and amortization
Capitalized interest, duties, and taxes on
property, plant and equipment deducted in advances and others
2002 2001
#NAME? #NAME?
#NAME? #NAME?
#NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
#NAME? #NAME?
- - -
674.24 #NAME? -
### #NAME? -
- #NAME? #NAME?
### #NAME? #NAME?
(674.24) #NAME? -
- #NAME? #NAME?
15,757.50 #NAME?
#NAME?
#NAME?
22,790.00 256462.54
#NAME? #NAME?
(13,128.10)
#NAME?
#NAME? 13128.15
#NAME? 29754.7
#NAME?
4 total
3,375.00 13,500.00
2400 2,400.00
7000 7,000.00
22,900.00
1998
1998
-
-
-
1998
1998
-
-
-
jan feb mar apr may jun jul aug sep oct nov dec total
-
Cash 10,580.21 (87,349.60) 2,959.47 (185,694.18) (16,119.85) 19,755.92 (14,564.40) 78,097.63 (46,916.98) 44,753.40 (25,948.00) (2,748.36) (223,194.74)
Prepaid items 1,125.00 1,125.00 1,125.00 1,125.00 1,425.00 1,400.00 2,550.00 4,500.00 3,600.00 1,600.00 19,575.00
Deferred income tax (Notes 1 and 4) -
Land and estimated improvement for sale (Notes 1 and 2) -
Property and equipment - net (Notes 1 and 3) -
Deferred income tax (Notes 1 and 4) -
Accounts payable and accrued expenses (30,000.00) (39,000.00) (1,810.50) (874.27) (873.91) (72,558.68)
Income tax payable -
Customers' deposit -
Advances from officers (5,000.00) (5,000.00)
Loans payable -
Capital stock - P100 par value -
Retained earnings (Deficit) -
NET SALES -
COST OF SALES -
RENTAL INCOME (23,500.00) (23,500.00) (23,500.00) (23,500.00) (29,500.00) (80,900.00) (1,900.00) (130,900.00) (1,900.00) (71,200.00) (31,575.00) (32,350.00) (474,225.00)
Salaries and wages 3,000.00 4,000.00 4,000.00 1,810.50 1,810.50 1,810.50 1,810.50 44,405.50 1,810.50 64,458.00
Repairs and maintenance 9,082.50 2,833.74 45,000.00 1,500.00 355.00 58,771.24
Taxes and licenses 3,001.00 10,188.00 146,618.16 28,892.77 3,424.22 874.27 22,606.18 4,474.27 4,474.27 4,474.27 229,027.41
Professional fees 30,948.90 1,800.00 1,800.00 1,800.00 17,390.30 1,800.00 1,800.00 42,000.00 2,000.00 101,339.20
Dues and subscriptions 2,300.00 10,229.25 7,929.25 7,929.25 28,387.75
Insurance 6,150.00 6,150.00
Light and water 5,793.79 592.10 693.79 1,278.34 1,263.77 31,321.61 1,000.00 1,171.61 1,000.00 1,000.00 1,000.00 1,000.00 47,115.01
Gas and oil -
Employees benefits 7,161.03 7,161.03 7,660.50 14,322.06 7,161.03 7,161.03 10,923.00 28,498.00 90,047.68
Representation -
Commission -
Brokers' fees -
Travel and transportation 1,000.00 1,000.00
Depreciation (Note 1 and 3) -
Postage, telephone and telegram -
Office supplies -
SSS and medicare contribution 998.00 998.00 998.00 998.00 998.00 998.00 998.00 6,986.00
Miscellaneous 101,050.00 1,700.00 1,954.25 2,268.78 2,500.00 1,281.63 6,514.90 1,912.02 2,939.55 122,121.13
OTHER INCOME (CHARGES)
Provision for income tax (Notes 1 and 4)
- - - - - - - - - - - - -
2002 2001 2000 1999
Transportation equipm
P 174,568.20 P 174,568.20 P 174,568.20 P 174,568.20 P
Other equipment 138,453.45 84,453.45 68,953.45 68,953.45
313,021.65 259,021.65 243,521.65 243,521.65
Less accumulated depreci #NAME? #NAME? #NAME? #NAME?
Schedule of depreciation
Transportation equipment 34,913.64 34,913.64
Other equipment 10,449.96 5,812.50 13,790.69 13,790.69
2002
11,633,050.32
Acquisition 843,657.37 documentation?
Ending 12,476,707.69
PROPOSED AJE # 3
Taxes and licenses 2,584.50
Miscellaneous 2,584.50
tottake up reclass of transfer tax
AJE # 4
Rent income
Accounts payable -
1998 1997 1996 1995 1994
OTHERS
Motor vehicle registration fees
Others 16,187.00
(The above does not include taxes charged directly to cost of sales)
2,084.85
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P903,797.33 18,075.95
Normal computation - 32% of P18,586.92 5,947.81
P 18,075.95
Minimun corporate income tax
2002 2001 2000
Effect of
Interest income (667.15) (674.24) #NAME?
Deferred 12,128.13 - #NAME?
2002 2001
Adjustment # 1
Provision for income 6,614.97 16,431.74
Income tax payable 6,614.97 ###
to recognize income based on accoutning income
2002 2001
Reconciliation
2002 2001
2002
AJE # 2
#NAME?
Prepaid item 18,075.95 #NAME?
Income tax payalbe 18,075.95 15,757.50
to record offset of prepaid itmes
15,757.50 #NAME?
AJE # 3
Professional fees
Cost of sales -
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
- - -
#NAME? #NAME?
#NAME? #NAME?
#NAME? -
#NAME? -
#NAME? #NAME?
#NAME? #NAME?
#NAME? P #NAME? P -
#NAME? #NAME? -
#NAME? P #NAME? P -
2000 1999 1998
#NAME? P #NAME? P -
#NAME? P #NAME? P -
#NAME? - -
#NAME? #NAME? -
#NAME? P #NAME? P -
#NAME?
256462.54
#NAME?
13128.15
29754.7
2001 2000 1999 1998
Transportation equipm
P 174,568.20 P 174,568.20 P 174,568.20 P 174,568.20 P
Other equipment 84,453.45 68,953.45 68,953.45 68,953.45
259,021.65 243,521.65 243,521.65 243,521.65
Less accumulated depreci #NAME? #NAME? #NAME? #NAME?
Schedule of depreciation
Transportation equipment 34,913.64 34,913.64
Other equipment 5,812.50 13,790.69 13,790.69
12,812,249.80
Sale 34,000.00
Cost 28,254.00
Gross profit 5,746.00
prpaid #NAME?
provision for inco #NAME?
2001
12,852,249.80
AJE # 1
Income tax
prepaid
149,020.50
1997 1996 1995 1994
OTHERS
Motor vehicle registration fees
Others
(The above does not include taxes charged directly to cost of sales)
2,107.01
ADD NON-DEDUCTIBLE ITEMS
P
Higher of P
Minimum corporate income tax -2% of P329,398.70 6,587.97
Normal computation - 32% of P49,292.19 15,757.50
P 15,757.50
Minimun corporate income tax
2001 2000 1999
Effect of
Interest income (674.24) #NAME?
Deferred - #NAME? #NAME?
2001 2000
Adjustment # 1
Provision for income tax 16,431.74 #NAME?
Income tax payable ### #NAME?
to recognize income based on accoutning income
2001 2000
Reconciliation
2000 2000
2001
AJE # 2
Deferred income tax #NAME? 13128.15
Prepaid item #NAME? 29754.7
Income tax payalbe 15,757.50
15,757.50 #NAME?
1999 1998
- -
#NAME?
#NAME?
-
-
#NAME?
#NAME?
1999 1998
#NAME? P -
#NAME? -
#NAME? P -
1999 1998
#NAME? P -
1999 1998
#NAME? P -
- -
#NAME? -
#NAME? P -
2002
24B Less: Unexpired Excess of Prior Year's MCIT over Normal Income Tax Rate
(deductible only if the current year's tax due is the normal rate)(Section C)………………………………………………..
18,075.95
24C Balance (Item 24A less Item 24B)………………………………………………………………………………………………..
24D Add: Tax on transactions under Special Rate (From Item 22A)………………….
121,256.88
(To be filled up by the BIR)
DLN: BCS No. PSIC:
Fill in all applicable spaces. Mark all appropriate boxes with an “X”.
1 For the X Calendar Fiscal 3 Amended Return? 4 No. of sheets attached 5 ATC
2 Year Ended
( MM / YYYY )
1 2 2 0 0 2 X
Yes No
Part I Background Information
6 TIN 7 RDO Code
0 0 0 7 3 5 7 7 2 0 3 9 8 Line of Business/ Real Estate
Occupation
9 Taxpayer's Name
AFA DEVELOPMENT CORPORATION
10 Registered Address 11 Zip Code
49 Mangyan Road, La Vista, Quezon City 1 1 0 8
12 Are you availing of tax relief under Special Law/ 12B
International Tax Treaty? 12A Yes No If yes, specify
13 Date of Incorporation/Birth 13A Date of Registration with BIR 13B
0 4 0 2 1 9 7 9 0 4 1 4 1 9 9 3
(MM/DD/YYYY) (MM/DD/YYYY)
Part II Computation of Tax
EXEMPT TAXABLE
Special Rate Regular Rate
14 14 14
2,044,500.00
14 Sales/Revenues/Receipts/Fees (Sch.1) A B C
15 15 15
1,219,199.48
15 Less: Cost of Sales/Services (Sch.2/3) A B C
16 16 16
825,300.52
16 Gross Income from Operation A B C
17 17 17
17 Add: Non-Operating & Other Income A B C
2,084.85
(Schedule 4) 18 18 18
18 Total Gross Income A B C
827,385.37
19 19 19
19 Less: Deductions (Section E) A B C
806,713.60
20 20
20 Taxable Income………………………………………………………………………… A B
20,671.77
21A 21B
21 Tax Rate (except MCIT Rate)…………………………………………………………………………………..
32%
22A 22
22 Income Tax ……………………….. ……. ……………………………………………….. B
6,614.97
23
23 Minimum Corporate Income Tax (MCIT)(Section B)……………………………………………………………………
18,075.95
24 Tax Due
24A Tax on transactions under Regular Rate (Normal Income Tax or Minimum Corporate Income Tax whichever is higher) 24A
18,075.95
24B Less: Unexpired Excess of Prior Year's MCIT over Normal Income Tax Rate 24B
(deductible only if the current year's tax due is the normal rate)(Section C)………………………………………………..
24C
24C Balance (Item 24A less Item 24B)………………………………………………………………………………………………..
18,075.95
24D
24D Add: Tax on transactions under Special Rate (From Item 22A)………………….
25
25 Aggregate Income Tax Due (Sum of Items 24C and 24D)………………………………………………….
18,075.95
26 Less: Tax Credits/Payments 26A
26A Prior Year's Excess Credits .........................................................................……………………..
16,626.55
26B
26B Tax Payments for the First Three Quarters……………………………………………………..
96,926.28
26C
26C Creditable Tax Withheld for the First Three Quarters …………………………………………..
21,485.00
26D
26D Creditable Tax Withheld Per BIR Form No. 2307 for the Fourth Quarter …. …………………
4,295.00
26E
26E Foreign Tax Credits, if applicable...............................................………………………….
26F
26F Tax Paid in Return Previously Filed, if this is an Amended Return............………………………….
26G
26G Total Tax Credits/Payments (Sum of Items 26A to 26F)……………………………………………………
139,332.83
27
27 Tax Payable/(Overpayment)(Item 25 less Item 26G)......................................……………………………
(121,256.88)
28
28 Improperly Accumulated Earnings Tax (Section D)…………………………………………………………
29
29 Total (Sum of Items 27 and 28)…………………………………...……………………………………………..
(121,256.88)
30 Add: Penalties
Surcharge Interest Compromise
30A 30B 30C 30D
EVN (110399)
BIR FORM 1702 (ENCS) - PAGE 2
Section A Gross Income
Schedule 1 Schedule of Sales/Revenues/Receipts/Fees
Special Rate Regular Rate
Creditable Tax Withheld Taxable Amount Creditable Tax Withheld Taxable Amount
36 Sale of Goods/Properties
37 Sale of Services
38 Lease of Properties SEE ATTACHED
39 Total
40 Less: Sales Returns/Discounts
41 Net Sales/Revenues/Receipts/Fees (to Item 14)
Schedule 2 Schedule of Cost of Sales (Trading / Manufacturing)
Amount under Special Rate Amount under Regular Rate
42 Merchandise/Finished Goods Inventory, Beginning
43 Add: Purchases of Merchandise/Cost of Goods Manufactured
44 Total Goods Available for Sale SEE ATTACHED
45 Less: Merchandise/Finished Goods Inventory, End
46 Cost of Sales (to Item 15)
Schedule 3 Schedule of Cost of Sales (Service)
Amount under Special Rate Amount under Regular Rate
47 Direct Charges - Salaries, Wages and Benefits
48 Direct Charges - Materials, Supplies, and Facilities
49 Direct Charges - Depreciation SEE ATTACHED
50 Direct Charges - Rental
51 Direct Charges - Outside Services
52 Direct Charges - Others
53 Total Cost of Services (Sum of Items 47 to 52) (to Item 15)
Schedule 4 Schedule of Taxable Other Income
Special Rate Regular Rate
Nature of Income Creditable Tax Withheld Taxable Amount Creditable Tax Withheld Taxable Amount
54
55
56
57 SEE ATTACHED
58
59
60
61 Total Other Income (to Item 17)
Section B Computation of Minimum Corporate Income Tax (MCIT) of Current Year
62 Total Gross Income for MCIT purposes
63 Tax Rate
64 Minimum Corporate Income Tax (to Item 23)
Section C Computation of Excess Minimum Corporate Income Tax (MCIT) of Previous Year
Normal Income Tax MCIT Excess of MCIT over Excess MCIT applied Balance MCIT Expired Portion
Year as adjusted Normal Income Tax this Year still allowable of Excess MCIT
as adjusted as Tax Credit
65
66
67 SEE ATTACHEDS
68
69
Section D Computation of Improperly Accumulated Earnings Tax
70 Taxable Income
71 Add: Income Exempt from Tax
Income Excluded from Gross Income
Income Subject to Final Tax
Net Operating Loss carry-over deducted
72 Total
73 Less: Dividends actually or constructively paid
Income Tax Paid for the taxable year
74 Improperly Accumulated Taxable Income
75 Tax Rate
76 Improperly Accumulated Earnings Tax (to Item 28)
BIR FORM 1702 (ENCS) - PAGE 3
Section E Deductions
EXEMPT TAXABLE
Nature of Expense / Deduction Special Rate Regular Rate
77 Salaries and Allowances
78 Fringe Benefits
79 SSS, GSIS, Medicare, HDMF and
Other Contributions
80 Commissions
81 Outside Services
82 Advertising
83 Rental
84 Insurance
85 Royalties
86 Repairs & Maintenance
87 Representation & Entertainment SEET ATTACHED
88 Transportation & Travel
89 Fuel and Oil
90 Communications, Light and Water
91 Supplies
92 Interest
93 Taxes & Licenses
94 Losses
95 Bad Debts
96 Depreciation
97 Amortization of Intangibles
98 Depletion
99 Charitable Contribution
100 Research and Development
101 Amortization of Pension Trust Contribution
102 Miscellaneous
103 Total Expenses (Sum of Items 77 to 102)
(to Item 19A, B & C)
Section F Reconciliation of Net Income Per Books Against Taxable Income
Special Rate Regular Rate
104 Net Income/(Loss)per books………………………………………..
SEE ATTACHED
We declare, under the penalties of perjury, that this return has been made in good faith, verified by us, and to the best of our knowledge and belief,
is true and correct, pursuant to the provisions of the National Internal Revenue Code, as amended, and the regulations issued under authority
thereof.
111 PIA AGBAYANI FAJARDO 112
President/Vice President/Authorized Representative Treasurer/Asst. Treasurer/Authorized Representative
(Signature over printed Name) (Signature over printed Name)
Date Issued
Community Tax Certificate Number Place of Issue MM DD YYYY Amount
38,583,551.65 38,583,551.65 #NAME? 45,970,204.81 10,000.00 10,000.00 #NAME? #NAME? #NAME? 9,168,657.71 #NAME?
Check on totals 0.00 #NAME? - #NAME? #NAME? #NAME?
#NAME? 250,142.47 250,142.47 243,715.08 243,715.08 44,100.00 44,100.00 67,306,741.58 #NAME? 138,675.47
- - - #NAME? -
138,675.47 187,500.00 187,500.00 3,304,629.48 3,304,629.48 250,000.00 250,000.00 190,891.76 190,891.75 34,233,841.29 #NAME? #NAME?
- 0.00 - 0.01 #NAME? #NAME?
90,026.52
3,478.35
from Cost of
Rent, light
Cost of and
Sales Purchases Selling and Distribution Expenses Salaries and wages water Depreciation Taxes and licenses
Credit Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit Debit
31,668,448.79 #NAME? #NAME? 1,139,994.38 1,139,994.38 #NAME? 1,022,077.80 #NAME? 162,995.62 55,469.70 55,469.70 #NAME?
#NAME? 0.00 #NAME? #NAME? - #NAME?
Cost of and
Postage, telephone
and SSS and medicare
Taxes and licenses Insurance Commission Gas and oil telegram Office supplies contribution
Credit Debit Credit Debit Credit Debit Credit Debit Credit Debit Credit Debit
#NAME? 149,440.87 149,440.87 #NAME? #NAME? #NAME? 12,258.98 48,727.07 48,727.07 26,070.40 26,070.40 #NAME?
- #NAME? #NAME? - - #NAME?
51,139.60 #NAME? 39,470.47 #NAME? 549.00 #NAME? 20,550.00 #NAME? 11,251.40 #NAME? 960.00 #NAME?
#NAME? #NAME? #NAME? #NAME? #NAME? #NAME?
24,597,881.46 24,597,881.46
#NAME? #NAME? #NAME? #NAME?
97.25 #NAME? #NAME?
#NAME? #NAME?
25.00 #NAME? #NAME?
411.79 #NAME? #NAME?
590.96 100.00 #NAME? #NAME?
146.85 100.00 #NAME? #NAME?
1,212.25 100.00 #NAME? #NAME?
7,371.50 100.00 #NAME? #NAME?
4,171.71 100.00 #NAME? #NAME?
2,757.00 100.00 #NAME? #NAME?
1,927.65 18,458.50 100.00 77,818.34 187,500.00 #NAME? #NAME?
4,983.50 1,328.16 200.00 77,818.34 187,500.00 34,234,041.29 34,234,041.29
23,376,221.37 23,376,221.37
4,983.50 #NAME? 19,786.66 500.00 #NAME? 77,818.34 77,818.34 187,500.00 187,500.00 #NAME? #NAME?
#NAME? #NAME? - - #NAME?
Other income
Difference
-
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
-
- 0.00
#NAME?
Cash
Debit Credit Balance
Beginning balances #REF! #REF! #REF!
April #REF! #REF! #REF!
May #REF! #REF! #REF!
June #REF! #REF! #REF!
July #REF! #REF! #REF!
August #REF! #REF! #REF!
September #REF! #REF! #REF!
October #REF! #REF! #REF!
November #REF! #REF! #REF!
December #REF! #REF! #REF!
January #REF! #REF! #REF!
February #REF! #REF! #REF!
March #REF! #REF! #REF!
Closing entries #REF! #REF! #REF!
Balance end #REF! #REF! #REF!
#NAME?
#NAME?
Trade receivables
Debit Credit Balance
Beginning balances #REF! #REF! #REF!
April #REF! #REF! #REF!
May #REF! #REF! #REF!
June #REF! #REF! #REF!
July #REF! #REF! #REF!
August #REF! #REF! #REF!
September #REF! #REF! #REF!
October #REF! #REF! #REF!
November #REF! #REF! #REF!
December #REF! #REF! #REF!
January #REF! #REF! #REF!
February #REF! #REF! #REF!
March #REF! #REF! #REF!
Closing entries #REF! #REF! #REF!
Balance end #REF! #REF! #REF!
#NAME?