AKT 554 Siklus Dagang
AKT 554 Siklus Dagang
AKT 554 Siklus Dagang
Trial Balance
For The Year Ended November 30, 2020
EVIDENCE
DATE DESCRIPTION POS REFF
NUMBER
TOTAL
DEBET CREDIT
AKUN LAIN AKUN LAIN
ACCOUNT PAYABLE
ACC. NO. AMOUNT ACC. NO. AMOUNT
Rp 49,600,000
Rp 25,000,000 5-3000 Rp 500,000
Rp 50,000,000 5-3000 Rp 1,000,000
6-1100 Rp 15,000,000
1-1200 Rp 900,000
1-1600 Rp 23,500,000
1-1800 Rp 2,350,000
Rp 124,600,000 Rp 41,750,000 Rp 1,500,000
Rp 166,350,000 Rp 166,350
CREDIT
Rp 164,850,000
Rp 1,500,000
Rp 166,350,000
CREDIT
CASH IN BANK
Rp 49,600,000
Rp 24,500,000
Rp 49,000,000
Rp 15,000,000
Rp 900,000
Rp 25,850,000
Rp 164,850,000
166,350,000
JURNAL PENERIMAAN K
POS
DATE No Bukti DESCRIPTION
REF
TOTAL
Acc. No
1-1100
1-3420
4-1120
5-1000
TOTAL
JURNAL PENERIMAAN KAS
DEBET CREDIT
AKUN LAIN AKUN LAIN
ACCOUNT
CASH IN BANK ACC. ACC.
AMOUNT RECEIVABLE
NO. NO.
Rp 44,200,000 Rp 44,200,000
Rp 73,180,800 4-1120 Rp 739,200 Rp 73,920,000
Rp 90,822,600 4-1120 Rp 917,400 Rp 91,740,000
Rp 75,240,000 5-1000 Rp 52,200,000 4-1100
2-1160
4-1110
1-1600
Rp 128,150,000 5-1000 Rp 85,000,000 4-1100
2-1160
4-1110
1-1600
Rp 310,000,000 1-3420 Rp 120,000,000 1-3410
9-1300
Rp 721,593,400 Rp 258,856,600 Rp 209,860,000
Rp 980,450,000 Rp 980
Rp 68,400,000
Rp 6,840,000
Rp 52,200,000
Rp 116,500,000
Rp 11,650,000
Rp 85,000,000
Rp 400,000,000
Rp 30,000,000
Rp 770,590,000
980,450,000
PT Xborg Gacor
GENERAL LEDGER
For the Year Ended December 31, 2020
Nama : PPN In
POS
DATE DESCRIPTION DEBIT KREDIT
REF
Des 1 Balance
2020 31 Purchase Rp 18,270,000
31 General Rp 2,530,000
31 Payment Rp 2,350,000
Nama : Land
POS
DATE DESCRIPTION DEBIT KREDIT
REF
Des 1 Balance
2020
Nama : Vehicle
POS
DATE DESCRIPTION DEBIT KREDIT
REF
Des 1 Balance
2020 31 Receipt Rp 400,000,000
Nama : Equipment
POS
DATE DESCRIPTION DEBIT KREDIT
REF
Des 1 Balance
2020
Nomor : 1-1100
BALANCE
DEBIT KREDIT
Rp 410,000,000
Rp 1,131,593,400
Rp 966,743,400
Nomor : 1-1200
BALANCE
DEBIT KREDIT
Rp 4,500,000
Rp 5,400,000
Rp 3,220,000
Rp 3,220,000
Nomor : 1-1300
BALANCE
DEBIT KREDIT
Rp 153,150,000
Rp 348,510,000
Rp 138,650,000
Rp 138,650,000
Nomor : 1-1400
BALANCE
DEBIT KREDIT
Rp 4,000,000
Rp 5,386,500
Nomor : 1-1500
BALANCE
DEBIT KREDIT
Rp 5,500,000
Nomor : 1-1600
BALANCE
DEBIT KREDIT
Rp 367,400,000
Rp 550,100,000
Rp 422,900,000
Rp 285,700,000
Rp 309,200,000
Rp 283,900,000
Nomor : 1-1700
BALANCE
DEBIT KREDIT
Rp 5,300,000
Rp 5,900,000
Nomor : 1-1800
BALANCE
DEBIT KREDIT
Rp 7,250,000
Rp 25,520,000
Rp 22,990,000
Rp 25,340,000
Nomor : 1-1900
BALANCE
DEBIT KREDIT
Rp 12,000,000
Nomor : 1-2000
BALANCE
DEBIT KREDIT
Rp 7,000,000
Nomor : 1-3100
BALANCE
DEBIT KREDIT
Rp 300,000,000
Nomor : 1-3210
BALANCE
DEBIT KREDIT
Rp 150,000,000
Nomor : 1-3220
BALANCE
DEBIT KREDIT
Rp 50,000,000
Rp 50,000,000
Nomor : 1-3410
BALANCE
DEBIT KREDIT
Rp 400,000,000
Rp -
Nomor : 1-3420
BALANCE
DEBIT KREDIT
Rp 120,000,000
Rp -
Nomor : 1-3310
BALANCE
DEBIT KREDIT
Rp 70,000,000
Nomor : 1-3320
BALANCE
DEBIT KREDIT
Rp 20,000,000
Rp 20,000,000
Nomor : 2-1110
BALANCE
DEBIT KREDIT
Rp 129,000,000
Rp 329,970,000
Rp 205,370,000
Rp 177,540,000
Nomor : 2-1120
BALANCE
DEBIT KREDIT
Rp 51,000,000
Rp 51,000,000
Rp 51,000,000
Nomor : 2-1130
BALANCE
DEBIT KREDIT
Rp -
Rp -
Nomor : 2-1140
BALANCE
DEBIT KREDIT
Rp 85,000,000
Rp 85,000,000
Nomor : 2-1160
BALANCE
DEBIT KREDIT
Rp 9,925,000
Rp 27,685,000
Rp 46,175,000
Rp 46,175,000
Nomor : 2-2100
BALANCE
DEBIT KREDIT
Rp 200,000,000
Rp 200,000,000
Nomor : 3-1000
BALANCE
DEBIT KREDIT
Rp 500,000,000
Rp 500,000,000
Nomor : 3-1200
BALANCE
DEBIT KREDIT
Rp 100,000,000
Rp 829,651,900
Nomor : 3-1300
BALANCE
DEBIT KREDIT
Rp 1,798,300,000
Rp 709,651,900
-Rp 20,000,000
Nomor : 4-1100
BALANCE
DEBIT KREDIT
Rp 1,342,300,000
Rp 1,519,900,000
Rp 1,704,800,000
Rp -
Nomor : 4-1110
BALANCE
DEBIT KREDIT
Rp 75,000,000
Rp 75,000,000
Rp 75,000,000
Rp -
Nomor : 4-1120
BALANCE
DEBIT KREDIT
Rp 9,000,000
Rp 10,656,600
Rp -
Nomor : 4-1130
BALANCE
DEBIT KREDIT
Rp 1,200,000
Rp 1,200,000
Rp -
Nomor : 5-1000
BALANCE
DEBIT KREDIT
Rp 650,000,000
Rp 777,200,000
Rp 914,400,000
Rp 914,400,000
Rp -
Nomor : 5-2000
BALANCE
DEBIT KREDIT
Rp 1,220,000
Rp -
Nomor : 5-3000
BALANCE
DEBIT KREDIT
Rp 1,500,000
Rp -
Nomor : 6-1100
BALANCE
DEBIT KREDIT
Rp 65,000,000
Rp 80,000,000
Rp -
Nomor : 6-1200
BALANCE
DEBIT KREDIT
Rp -
Rp -
Nomor : 6-1300
BALANCE
DEBIT KREDIT
Rp 3,000,000
Rp -
Nomor : 6-1400
BALANCE
DEBIT KREDIT
Rp 750,000
Rp 1,530,000
Nomor : 6-1500
BALANCE
DEBIT KREDIT
Rp 450,000
Rp 900,000
Nomor : 6-1600
BALANCE
DEBIT KREDIT
Rp 12,750,000
Rp 13,000,000
Rp -
Nomor : 6-1700
BALANCE
DEBIT KREDIT
Rp 450,000
Rp -
Nomor : 6-1800
BALANCE
DEBIT KREDIT
Rp 2,790,000
Rp -
Nomor : 6-2100
BALANCE
DEBIT KREDIT
Rp 45,000,000
Rp -
Nomor : 6-2200
BALANCE
DEBIT KREDIT
Nomor : 6-2300
BALANCE
DEBIT KREDIT
Rp 1,400,000
Rp -
Nomor : 6-2400
BALANCE
DEBIT KREDIT
Rp 2,200,000
Rp -
Nomor : 6-2500
BALANCE
DEBIT KREDIT
Nomor : 6-2600
BALANCE
DEBIT KREDIT
Nomor : 8-1100
BALANCE
DEBIT KREDIT
Rp 4,500,000
Rp -
Nomor : 8-1200
BALANCE
DEBIT KREDIT
Rp -
Rp -
Nomor : 8-1300
BALANCE
DEBIT KREDIT
Rp 2,500,000
Rp -
Nomor : 8-1999
BALANCE
DEBIT KREDIT
Nomor : 9-1000
BALANCE
DEBIT KREDIT
Rp -
Rp -
Rp -
Nomor : 9-1100
BALANCE
DEBIT KREDIT
Rp 3,250,000
Rp -
Nomor : 9-1200
BALANCE
DEBIT KREDIT
Rp 6,265,000
Rp -
Nomor : 9-1300
BALANCE
DEBIT KREDIT
Rp 30,000,000
Rp -
Nomor : 9-1999
BALANCE
DEBIT KREDIT
JURNAL PEMBELIAN BARANG DAGANG
D
DATE NO. INVOICE DECRIPTION POS REF
FREIGHT IN
DEBET CREDIT
MERCHANDISE ACCOUNTS
PPN INCOME
INVENTORY PAYABLE
CREDIT
Rp 200,970,000
Rp 200,970,000
Rp 46,860,000
JURNAL PENJUALAN BARANG D
DEBET
POS
DATE NO. INVOICE DESCRIPTION ACCOUNTS
REF
RECEIVABLE
Des 1 FP12-1 CV Kuta Baru Rp 73,920,000
2020 9 FP12-2 CV Indah Jaya Rp 29,700,000
12 FP12-3 CV Marck Elektro Rp 91,740,000
Rp 195,360,000
TOTAL
Rp 322,560,00
Acc. No
1-1300
5-1000
TOTAL
RNAL PENJUALAN BARANG DAGANG
DEBET CREDIT
COST OF GOODS MERCHANDISE SALES FREIGHT
SOLD INVENTORY MERCHANDISE COLLECTED
Rp 49,200,000 Rp 49,200,000 Rp 67,200,000
Rp 18,000,000 Rp 18,000,000 Rp 27,000,000
Rp 60,000,000 Rp 60,000,000 Rp 83,400,000
Rp 127,200,000 Rp 127,200,000 Rp 177,600,000 Rp -
322,560,000 Rp 322,560,000
No KODE
DATE DESCRIPTION DEBET
Dokumen AKUN
DES 1 VKK12-1 Maintenance Expense 6-1600 Rp 250,000
2020 Petty Cash 1-1200
4 VKK12-2 Electricity Expense 6-1400 Rp 650,000
Petty Cash 1-1200
8 BM04-01 Account Payable 2-1110 Rp 5,170,000
PPN In 1-1800
Merchandise Inventory 1-1600
11 BM04-02 Account Payable 2-1110 Rp 22,660,000
PPN In 1-1800
Merchandise Inventory 1-1600
20 VKKXII-03 Water Expense 6-1400 Rp 130,000
Petty Cash 1-1200
25 VKKXII-04 Telephone Expense 6-1500 Rp 450,000
Petty Cash 1-1200
28 VKKXII-05 Supplies 1-1700 Rp 700,000
Petty Cash 1-1200
TOTAL Rp 30,010,000
Rp 250,000
Rp 650,000
Rp 470,000
Rp 4,700,000
Rp 2,060,000
Rp 20,600,000
Rp 130,000
Rp 450,000
Rp 700,000
Rp 30,010,000
KARTU PERSEDIAAN RB
MASUK KE
TANGGAL KETERANGAN HARGA
UNIT JUMLAH UNIT
SATUAN
Des 1 Saldo
2020 1 Penjualan 12
4 Pembelian 7 Rp 2,900,000 Rp 20,300,000
6 Pembelian 18 Rp 2,900,000 Rp 52,200,000
8 Retur Pembelian -1 Rp 2,900,000 -Rp 2,900,000
11 Retur Pembelian -4 Rp 2,900,000 -Rp 11,600,000
12 Penjualan 12
15 Penjualan Tunai 18
16 Pembelian 16 Rp 2,900,000 Rp 46,400,000
21 Penjualan Tunai 20
24 Pembelian 4 Rp 2,900,000 Rp 11,600,000
30 Pembelian Tunai 5 Rp 2,900,000 Rp 14,500,000
Total 45 Rp 130,500,000 62
KARTU PERSEDIAAN LT
MASUK KE
TANGGAL KETERANGAN HARGA
UNIT JUMLAH UNIT
SATUAN
Des 1 Saldo
2020 1 Penjualan 8
4 Pembelian 15 Rp 1,800,000 Rp 27,000,000
8 Retur Pembelian -1 Rp 1,800,000 -Rp 1,800,000
9 Penjualan 10
11 Retur Pembelian -5 Rp 1,800,000 -Rp 9,000,000
12 Penjualan 14
16 Pembelian 10 Rp 1,800,000 Rp 18,000,000
21 Penjualan Tunai 15
24 Pembelian 4 Rp 1,800,000 Rp 7,200,000
30 Pembelian Tunai 5 Rp 1,800,000 Rp 9,000,000
Total 9 Rp 34,200,000 32
RTU PERSEDIAAN RB-14
KELUAR SALDO
HARGA HARGA
JUMLAH UNIT JUMLAH
SATUAN SATUAN
82 Rp 2,900,000 Rp 237,800,000
Rp 2,900,000 Rp 34,800,000 70 Rp 2,900,000 Rp 203,000,000
77 Rp 2,900,000 Rp 223,300,000
95 Rp 2,900,000 Rp 275,500,000
94 Rp 2,900,000 Rp 272,600,000
90 Rp 2,900,000 Rp 261,000,000
Rp 2,900,000 Rp 34,800,000 78 Rp 2,900,000 Rp 226,200,000
Rp 2,900,000 Rp 52,200,000 60 Rp 2,900,000 Rp 174,000,000
76 Rp 2,900,000 Rp 220,400,000
Rp 2,900,000 Rp 58,000,000 56 Rp 2,900,000 Rp 162,400,000
60 Rp 2,900,000 Rp 174,000,000
65 Rp 2,900,000 Rp 188,500,000
Rp 179,800,000 65 Rp 188,500,000
KELUAR SALDO
HARGA HARGA
JUMLAH UNIT JUMLAH
SATUAN SATUAN
72 Rp 1,800,000 Rp 129,600,000
Rp 1,800,000 Rp 14,400,000 64 Rp 1,800,000 Rp 115,200,000
79 Rp 1,800,000 Rp 142,200,000
78 Rp 1,800,000 Rp 140,400,000
Rp 1,800,000 Rp 18,000,000 68 Rp 1,800,000 Rp 122,400,000
63 Rp 1,800,000 Rp 113,400,000
Rp 1,800,000 Rp 25,200,000 49 Rp 1,800,000 Rp 88,200,000
59 Rp 1,800,000 Rp 106,200,000
Rp 1,800,000 Rp 27,000,000 44 Rp 1,800,000 Rp 79,200,000
48 Rp 1,800,000 Rp 86,400,000
53 Rp 1,800,000 Rp 95,400,000
Rp 57,600,000 53 Rp 95,400,000
PT Xborg Gacor
UNADJUSTED TRIAL BALANCE
For the Year Ended December 31, 2020
No KODE
DATE DESCRIPTION DEBET
Dokumen AKUN
Des 31 BM12-1 Rent Expense 6-2400 Rp 2,200,000
2019 Prepaid Rent 1-1900
31 BM12-2 Petty Cash Variance 6-2300 Rp 1,400,000
Petty Cash 1-1200
31 BM12-4 PPN Out 2-1150 Rp 46,175,000
PPN In 1-1800
PPN Payable 2-1160
31 BM12-5 Bad Debt Expense 6-1200 Rp 1,386,500
Allowance for Doubtful Debt 1-1400
TOTAL Rp 51,161,500
CREDIT
Rp 2,200,000
Rp 1,400,000
Rp 25,340,000
Rp 20,835,000
Rp 1,386,500
Rp 51,161,500
UD WANGSIT ELEKTRONIK
ADJUSTED TRIAL BALANCE
For the Year Ended December 31, 2020
1, 2020
Operational Expenses
Wages & Salaries Expense Rp 80,000,000
Bad Debt Expense Rp 1,386,500
Advertising Expense Rp 3,000,000
Electicity & Water Expense Rp 1,530,000
Telephone Expense Rp 900,000
Maintenance Expense Rp 13,000,000
Newspaper & Tabloid Expense Rp 450,000
Supplies Expense Rp 2,790,000
Depreciation Expense Rp 45,000,000
Late Fee Expense Rp -
Petty Cash Variance Rp 1,400,000
Rent Expense Rp 2,200,000
Insurance Expense Rp -
Other Expense Rp -
Total Expenses -Rp 151,656,500
Operational Income Rp 702,166,900
Additional Paid In
Description Common Stock Retained Earning
Capital
Financial Position at Nov 30, 2020 Rp 500,000,000 Rp 100,000,000
Issuance Capital
Net Income Rp 729,651,900
Devidend Rp -
Financial Position at Dec 31, 2020 Rp 500,000,000 Rp - Rp 829,651,900
Total
Rp 600,000,000
Rp -
Rp 729,651,900
Rp -
Rp 1,329,651,900
UD WANGSIT ELEKTRONIK
STATEMENT OF FINANCIAL POSITION
For The Year End December 31, 2020
Asset
Current Assets
Cash in Bank Rp 966,743,400
Petty Cash Rp 1,820,000
Account Receivable Rp 138,650,000
Allowance for Doubtful Debt -Rp 5,386,500
Employee Recievable Rp 5,500,000
Merchandise Inventory Rp 283,900,000
Store Supplies Rp 6,000,000
PPN In Rp -
Prepaid Rent Rp 9,800,000
Prepaid Insurance Rp 7,000,000
Rp 1,414,026,900
Fixed Assets
Land Rp 300,000,000
Building at Cost Rp 150,000,000
Accum. Dep. – Building -Rp 50,000,000
Office Equipment at Cost Rp 70,000,000
Accum. Dep. - Office Equipment -Rp 20,000,000
Vehicle at Cost Rp -
Accum. Dep. – Vehicle Rp -
Rp 450,000,000
Total Asset Rp 1,864,026,900
SIT ELEKTRONIK
FINANCIAL POSITION
End December 31, 2020
Equity
Common Stock Rp 500,000,000
Retained Earning Rp 829,651,900
Rp 1,329,651,900
OPERATING ACTIVITIES
Net Income
Adjusments to reconcile net income to net Rp 729,651,900
cash provided by operating activities :
Account Receivable Rp 33,350,000
Allowance for Doubtful Debt -Rp 613,500
Employee Recievable Rp 1,000,000
Merchandise Inventory Rp 72,100,000
Store Supplies Rp 2,000,000
PPN In Rp 54,200,000
Prepaid Rent Rp 2,200,000
Prepaid Insurance Rp 8,000,000
Depreciation Expense -Rp 10,000,000
Accounts Payable -Rp 222,460,000
Wages & Salaries -Rp 19,000,000
Dividend Payable Rp -
Income Tax Payable Rp 34,000,000
PPN Out -Rp 60,550,000
PPN Payable Rp 20,835,000
-Rp 84,938,500
Net Cash Flow from Operating Activities Rp 644,713,400
INVESTING ACTIVITIES
Land Rp -
Building at Cost Rp -
Equipment Rp -
Vehicle at Cost Rp 400,000,000
Net Cash Flow Used to Investing Activities Rp 400,000,000
FINANCING ACTIVITIES
Bank Loan -Rp 200,000,000
Common Stock -Rp 200,000,000
Retained Earning -Rp 100,000,000
Dividend Rp -
Net Cash Flow from Financing Activities -Rp 500,000,000
Change Cash & Equivalent Cash Rp 544,713,400
Cash & Equivalent Cash, December 31, 2019 Rp 423,850,000
Cash & Equivalent Cash, December 31, 2018 Rp 968,563,400
Neraca Perbandingan dengan Neraca Tahun Lalu
Akun 2022 2021
Cash in Bank Rp 966,743,400 Rp 422,650,000
Petty Cash Rp 1,820,000 Rp 1,200,000
Account Receivable Rp 138,650,000 Rp 172,000,000
Allowance for Doubtful Debt -Rp 5,386,500 -Rp 6,000,000
Employee Recievable Rp 5,500,000 Rp 6,500,000
Merchandise Inventory Rp 283,900,000 Rp 356,000,000
Store Supplies Rp 6,000,000 Rp 8,000,000
PPN In Rp - Rp 54,200,000
Prepaid Rent Rp 9,800,000 Rp 12,000,000
Prepaid Insurance Rp 7,000,000 Rp 15,000,000
Land Rp 300,000,000 Rp 300,000,000
Building at Cost Rp 150,000,000 Rp 150,000,000
Accum. Dep. – Building -Rp 50,000,000 -Rp 45,000,000
Office Equipment at Cost Rp 70,000,000 Rp 70,000,000
Accum. Dep. - Office Equipment -Rp 20,000,000 -Rp 15,000,000
Vehicle at Cost Rp - Rp 400,000,000
Accum. Dep. – Vehicle Rp - -Rp 120,000,000
Total Aset Rp 1,864,026,900 Rp 1,781,550,000
Accounts Payable Rp 177,540,000 Rp 400,000,000
Wages & Salaries Rp 51,000,000 Rp 70,000,000
Dividend Payable Rp - Rp -
Income Tax Payable Rp 85,000,000 Rp 51,000,000
PPN Out Rp - Rp 60,550,000
PPN Payable Rp 20,835,000 Rp -
Other Current Liabilities Rp -
Bank Loans Rp 200,000,000 Rp 400,000,000
Common Stock Rp 500,000,000 Rp 700,000,000
Retained Earning Rp 829,651,900 Rp 100,000,000
Total Liabilitas dan Ekuitas Rp 1,864,026,900 Rp 1,781,550,000
Lalu
Selisih
Rp 544,093,400
Rp 620,000
Rp 33,350,000
-Rp 613,500
Rp 1,000,000
Rp 72,100,000
Rp 2,000,000
Rp 54,200,000
Rp 2,200,000
Rp 8,000,000
Rp -
Rp -
Rp 5,000,000
Rp -
Rp 5,000,000
Rp 400,000,000
-Rp 120,000,000
-Rp 222,460,000
-Rp 19,000,000
Rp -
Rp 34,000,000
-Rp 60,550,000
Rp 20,835,000
Rp -
-Rp 200,000,000
-Rp 200,000,000
Rp 729,651,900
UD WANGSIT ELEKTRONIK
CLOSING JOURNAL
For The End Year Dec 31, 2020
No KODE
DATE DESCRIPTION
Dokumen AKUN
DEBET CREDIT
Rp 1,704,800,000
Rp 75,000,000
Rp 1,500,000
Rp 4,500,000
Rp 2,500,000
Rp 10,000,000
Rp 1,798,300,000
Rp 1,088,648,100
Rp 10,656,600
Rp 1,200,000
Rp 914,400,000
Rp 1,220,000
Rp 80,000,000
Rp 1,386,500
Rp 3,000,000
Rp 1,530,000
Rp 900,000
Rp 13,000,000
Rp 450,000
Rp 2,790,000
Rp 45,000,000
Rp -
Rp 1,400,000
Rp 2,200,000
Rp -
Rp -
Rp 3,250,000
Rp 6,265,000
Rp -
Rp 729,651,900
Rp 729,651,900
Rp 2,886,948,100 Rp 2,886,948,100
UD WANGSIT ELEKTRONIK
UNADJUSTED TRIAL BALANCE
For the Year Ended December 31, 2020