AUDIT
AUDIT
AUDIT
NABILA PRESINDO
PT. NABILA PRESINDO WORKING TRIAL BALANCE-NOM
JL. VETERAN NO: 20 JAKARTA 31 DESEMBER 2003
LIABILITIES
Voucher payable G/1 75,475,000 152,093,750
Salaries payable H/1 - 20,341,250
Salaries tax payable H/2 7,305,000 13,190,000
Land and building tax payable H/3 312,500 312,500
Income tax payable H/4 15,902,500 8,580,375
Dividen payable H/5 75,000,000 -
Long term payable I/1 250,000,000 593,750,000
Long term payable due in 2003 I/1 62,500,000 -
EQUITIES
Common stock J/1 375,000,000 412,500,000
Retairned earning K/1 102,772,000 287,018,875
Retairned earning-current year TB-2 192,296,875 165,042,125
JUMLAH LIABILITIES & EQUITY 1,156,563,875 1,652,828,875
- -
184,246,875
8,050,000 -
295,068,875
8,050,000
LA PRESINDO WP: TB-1
G TRIAL BALANCE-NOMINAL ACCOUNT
MBER 2003
Adjusment Financial
Per Audit
Debet Kredit Statement
- 1,537,500 202,240,125
- 1,251,250 1,248,750 203,488,875
1,537,500 8,135,000 122,952,500
8,135,000 13,625,000 (5,490,000) 117,462,500
13,981,250 107,500,000 41,726,250 41,726,250
- - 21,750,000
- - - 21,750,000
- - 82,437,500
- - 262,500,000 344,937,500
- - 86,062,500
- - (38,806,250)
- 21,937,500 1,334,112,500 1,420,175,000
21,054,792 - (567,182,708) (605,988,958)
1,543,551,167 1,543,551,167
- - 412,500,000 412,500,000
67,875,000 - 219,143,875 -
- - 59,463,636 278,607,511
129,729,011 235,307,500 1,543,551,167 1,543,551,167
KOMITE AUDIT
PT. NABILA PRESINDO
JL. VETERAN NO: 20 JAKARTA
Per Audit
Nama Akun Rek. KK
31-12-2002
INCOME FROM
Advertising - General 588,126,250
Advertising - Advertising 219,443,750
Advertising - Mini 225,135,500
Sales of news paper 320,212,500
TOTAL INCOME 1,352,918,000
OPERATING EXPENSES:
Salaries M/1 537,060,000
Commission-advertising M/2 84,225,000
Honorarium-corespondence M/5 11,050,000
Honorarium-others M/5 23,312,500
Photos and pictures M/5 8,725,000
Usage of news papers and ink C/3 186,991,250
Reparation and maitenance M/5 15,093,750
Supplies M/5 11,412,500
Distribution and freight M/5 7,350,000
Rent D/3 22,500,000
Depreciation F/1 63,327,500
Land and building tax H/3 312,500
Insurance D/1 4,312,500
Electricity M/5 30,125,000
Consultan fees M/2 23,587,500
Bad debt B/1 9,887,500
Other expense M/4 12,132,500
TOTAL OPERATING EXPENSE 1,051,405,000
NET INCOME FROM OPERATIONS 301,513,000
658,626,250 - - 658,626,250
248,262,500 - - 248,262,500
254,325,000 - - 254,325,000
426,507,500 - - 426,507,500
1,587,721,250 1,587,721,250 1,587,721,250
563,862,500 - - 563,862,500
96,595,000 - - 96,595,000
11,687,500 - - 11,687,500
26,725,000 - - 26,725,000
10,925,000 - - 10,925,000
342,368,750 - - 342,368,750
38,312,500 600,000 - 38,912,500
12,175,000 1,028,750 - 13,203,750
8,087,500 - - 8,087,500
52,500,000 - - 52,500,000
69,643,750 - - 69,643,750
312,500 - - 312,500
5,950,000 - - 5,950,000
35,675,000 - - 35,675,000
27,937,500 - - 27,937,500
13,625,000 - - 13,625,000
28,475,000 107,687,500 - 136,162,500
1,344,857,500 1,454,173,750 1,454,173,750
242,863,750 133,547,500 133,547,500
7,850,000 - - 7,850,000
4,696,250 - 21,807,969 26,504,219
(31,250,000) 17,187,500 - (48,437,500)
18,212,500 882,708 - 17,329,792
(491,250) 3,246,511 3,246,511
31 Desember
Assets 2003 2002
Current Assets Rp. Rp.
Cash 203,488,875 100,181,375 103,307,500
Account Receivable (net allowance
for bad debt (Rp.5.490,000
dan 10.125.000) 117,462,500 110,475,000 6,987,500
Inventory 41,726,250 105,020,000 63,293,750
Prepaid expense 21,750,000 16,700,000 5,050,000
Total Current Assets 384,427,625 332,376,375
Investment 344,937,500 189,225,000 155,712,500
Equipment
Office furniture & fixture 86,062,500 76,062,500 10,000,000
Printing 1,334,112,500 1,118,550,000 215,562,500
1,420,175,000 1,194,612,500
Less: Accumulated depreciation (605,988,958) (557,400,000) (48,588,958)
Book Value 814,186,042 637,212,500
Equity
Common stock, par @Rp.50,000
modal dasar 100 lb Outstanding
7,500 lembar 412,500,000 375,000,000 37,500,000
Retairned earning 278,607,511 297,318,875 (18,711,364)
Total Equity 691,107,511 672,318,875
78,175,000
TOTAL LIABILITY & EQUITY 1,543,551,167 1,158,813,875
Aliran kas bersih
b. Kas Keluar
Koreksi laba ditahan 78,175,000
Account receivable 6,987,500
Prepaid expense 5,050,000
Dividen payable 20,750,000
Income tax payable 7,322,125
Current payable portion from long 62,500,000
Kas Keluar 180,784,625
b. Kas Keluar
Office furniture & fixture 10,000,000
Investment 155,712,500
Printing 215,562,500
Kas Keluar 381,275,000
b. Kas Keluar
Deviden -
-
203,420,875
-
103,307,500