Dasmarinas Duplicators V
Dasmarinas Duplicators V
Dasmarinas Duplicators V
Trial Balance
June 30,2020
ACCOUNT TITLES DEBIT CREDIT
Cash ₱ 34,800.00
Accounts Receivable 142,800.00
Supplies 70,800.00
Equipment 560,000.00
Accounts Payable ₱ 15,800.00
Pascual, Capital 513,000.00
Pascual, Withdrawals 50,000.00
Revenues 379,200.00
Salaries Expense 35,000.00
Rent Expense 10,000.00
Utilities Expense 4,600.00
Totals ₱ 908,000.00 ₱ 908,000.00
Activity 14
Corrected Trial Balance
Activity 13
Journalizing
P.
DATE ACCOUNT TITLES AND EXPLANATION R DEBIT CREDIT
Mar. 1 Cash 110 ₱ 42,500.00
Brite, Capital 310 ₱ 42,500.00
(To record Marly Brite’s investment on cash to
Marlon Brite, M.D.)
2 Medical Equipment 140 95,000.00
Cash 110 15,000.00
Notes Payable 210 80,000.00
( To record the acquisition of Office Equipment
from Tammy Medical Equipment Company with
cash as downpayment and issuing a notes
payable for the balance .)
3 Rent Expense 520 7,500.00
Cash 110 7,500.00
( To record the payment of March's Rent.)
5 Medical Supplies 130 15,250.00
Accounts Payable 220 15,250.00
(To record the acquisition of medical supplies on
account from Zeny Medical Supply.)
7 Cash 110 18,450.00
Medical Revenues 410 18,450.00
(To record the cash received from patients for
the services rendered.)
9 Laboratory Expense 530 1,800.00
Cash 110 1,800.00
(To record the payment to Pablo Labs for
laboratory work.)
12 Salaries Expense 510 9,600.00
Cash 110 9,600.00
( To record the payment of salaries of medical
Technician and receptionist.)
DATE ACCOUNT TITLES AND EXPLANATION P.R DEBIT CREDIT
Mar. 15 Accounts Receivable 120 ₱ 51,700.00
Medical Revenues 110 ₱ 51,700.00
(To record the amount of services rendered.)
17 Accounts payable 220 3,750.00
Cash 110 3,750.00
( To record the payment to Zeny Medical
Supply
Company on credit.)
20 Telephone Expense 540 850.00
Cash 110 850.00
(To record the payment for Telephone
Expense.)
21 Miscellaneous Expense 550 1,150.00
Cash 110 1,150.00
(To record the payment for miscellaneous
expense.)
22 Cash 110 27,500.00
Accounts receivable 120 27,500.00
(To record the collected cash from customers
billed on Mar. 15.)
23 Medical Supplies 130 9,100.00
Accounts Payable 220 9,100.00
(To record the medical supplies acquired from
Zeny Medical Supplies Company on credit.)
25 Salaries Expense 510 11,200.00
Cash 110 11,200.00
(To record the payment of salaries paid.)
26 Accounts Receivable 120 40,150.00
Medical Revenues 410 40,150.00
(To record the Medical services rendered to
patients.)
DATE ACCOUNT TITLES AND EXPLANATION P.R DEBIT CREDIT
27 Accounts payable 220 ₱ 6,150.00
Cash 110 ₱ 6,150.00
(Paid Zeny Medical Supply Company on credit)
28 Brite, Withdrawals 320 15,000.00
Cash 110 15,000.00
(To record the withdrawal of Marly Brite.)
BALANCE ₱ 16,450.00
BALANCE ₱ 64,350.00
BALANCE ₱ 95,000.00
P.R
520 RENT EXPENSE
DAT
DATE Debit E Credit
Mar 3 ₱ 7,500.00
BALANCE ₱7,500.00
P.R 530 LABORATORY EXPENSE
DATE Debit DATE Credit
Mar 9 ₱ 1,800.00
BALANCE ₱ 1,800.00
BALANCE ₱ 1,150.00
P.R 210 NOTES PAYABLE
DATE Debit DATE Credit
Mar 2 ₱ 80,000.00
BALANCE ₱ 80,000.00
BALANCE ₱14,450.00
BALANCE ₱ 42,500.00
P.R 320 BRITE, WITHDRAWALS
DAT
DATE Debit E Credit
Mar 28 ₱ 15000.00
BALANCE ₱15,000.00
P.R 410 MEDICAL REVENUES
DATE Debit DATE Credit
Mar 7 ₱ 18,450.00
15 51,700.00
26 40,150.00
BALANCE ₱ 110,300.00
BALANCE 20,800.00
P.R 540 TELEPHONE EXPENSE
DATE Debit DATE Credit
Mar 20 ₱ 850.00
BALANCE ₱ 850.00
Preparing a Trial Balance
DEBIT CREDIT
DATE ACCOUNT TITLES AND EXPLANATION P.R
May 2 Cash 110 ₱ 92, 500.00
Yu, Capital 310 ₱ 92,500.00
(To record the investment of Toni Yu on cash to Toni
Yu CPA)
TOTAL
Posting
₱ 13,200.00
BALANCE
BALANCE ₱ 64,350.00
BALANCE ₱ 36,800.00
P.R
520 RENT EXPENSE
DAT
DATE Debit E Credit
Mar 3 ₱ 3,250.00
BALANCE ₱ 3,250.00
BALANCE ₱ 1,800.00
BALANCE ₱ 1,150.00
P.R 210 NOTES PAYABLE
DATE Debit DATE Credit
Mar 2 ₱ 227,00.00
BALANCE ₱ 227,00.00
BALANCE ₱14,450.00
P.R 310 BRITE, CAPITAL
DATE Debit Credit
Mar 1 ₱ 42,500.00
BALANCE ₱ 42,500.00
BALANCE ₱15,000.00
BALANCE ₱ 110,300.00
BALANCE 20,800.00
P.R 540 TELEPHONE EXPENSE
DATE Debit DATE Credit
Mar 20 ₱ 850.00
BALANCE ₱ 850.00
Preparing Trial Balance
Activity 11
Journalizing
DEBIT
DATE ACCOUNT TITLES AND EXPLANATION P.R CREDIT
April 2 Cash 110 ₱ 71,000.00
Painting Equipment 12,300.00
Almoro, Capital ₱ 83,300.00
(To record the investment of Almoro to her business
on cash and equipment)
7 Cash 1,500.00
Painting Revenues 1,500.00
(To record the cash received for rendering services)
11 Cash 4,800.00
Accounts Receivables 4,800.00
(To record the cash received from the customer billed
on April 4)
23 Cash 3,300.00
Accounts Receivable 3,300.00
(To record the cash received from the customer billed
on April 13)
TOTAL
Posting
Trial Balance
Activity 10
Preparing a Trial Balance
Building 375,000.00
Land 87,000.00
Notes Payable ₱ 135,000.00
Accounts Payable 26,400.00
Go, Capital 254,700.00
Go, Withdrawals 18,000.00
Service Revenues 258,000.00
Salaries Expense 75,000.00
Supplies Expense 15,000.00
Insurance Expense 9,600.00
Utilities Expense 30,000.00
Equipment Rental Expense 15,000.00
5 Supplies 8,200.00
Accounts Payable 8,200.00
(To record the Acquisition of supplies on account)
8 Cash 13,900.00
Delivery Revenues 13,900.00
(To record the Cash received for delivery work to
Pascua Corporation)
1
0 Supplies 2,050.00
Cash 2,050.00
(To record the acquisition of additional supplies on
cash)
1
3 Salaries Expense 3,900.00
Cash 3,900.00
(To record the payment for salaries expense)
DATE ACCOUNT TITLES AND EXPLANATION P.R DEBIT CREDIT
Octobe 1
r 6 Accounts Receivable 110 ₱ 15,250.00
Delivery Revenues ₱ 15,250.00
(To record the amount of services rendered to Luisita
Company)
1
7 Accounts Payable 2,300.00
Cash 2,300.00
(To record the payment of amount owed from the Oct.
transaction)
1
9 Miscellaneous Expense 1,700.00
Cash 1,700.00
2
1 Alvarez Withdrawals 6,150.00
Cash 6,150.00
(To record the amount withdrawn by the owner)
2
2 Cash 9,500.00
Accounts Receivable 9,500.00
(To record the amount of collected cash from Luisita
Company)
2
4 Salaries Expense 4,200.00
Cash 4,200.00
(To record the payment for salaries expense)
2
5 Utilities Expense 800.00
Cash 800.00
2
7 Accounts Receivable 13,400.00
Delivery Revenues 13,400.00
(To record the amount of services rendered to
Cojuanco Company)
TOTAL
Activity 8
Journal Entries
8 Cash
Plumbing Revenues
(To record the cash received for plumbing services
rendered)
9 Plumbing Supplies
Cash
(To record the acquisition of additional plumbing
supplies on cash)
1
5 Accounts Receivable 42,200.00
Plumbing Revenues 42,200.00
(To record the services rendered to customers)
1
6 Accounts Payable 5,700.00
Cash 5,700.00
(To record the payment of amount owed from the
transaction of April 6.)
1
9 Miscellaneous Expense 4,300.00
Cash 4,300.00
(To record the payment for miscellaneous expense on
cash)
2
0 Cash 21,000.00
Accounts Receivable 21,000.00
(To record the cash collected from the customers on
the April 15 transaction)
2
1 Marky Withdrawals 14,500.00
Cash 14,500.00
(To record the withdrawal of the owner from the
business)
2
2 Salaries Expense 14,100.00
Cash 14,100.00
(To record the payment for salaries on cash)
2
4 Notes Payable 3,850.00
Cash 3,850.00
(To record the payment for the first instalment of the
note payable)
2
5 Telephone Expense 1,250.00
Cash 1,250.00
(To record the payment for the telephone on cash)
TOTAL