Kan Taxes and Accounting Services
Kan Taxes and Accounting Services
Kan Taxes and Accounting Services
GJ-1
Kan, Drawing
Cash
To record Mr. Kan's personal withdrawal
Utilities Expense
Cash
To record payment of telephone bill
Supplies Expense
Supplies
To record supplies used
ADJUSTING ENTRIES
GJ-3
GJ-4
101 ₱ 200,000
301 ₱ 200,000
151 33,000
201 33,000
121 19,500
101 19,500
131 12,000
101 12,000
111 50,000
401 50,000
101 40,000
111 40,000
201 20,000
101 20,000
111 30,000
401 30,000
101 15,000
211 15,000
501 16,000
101 16,000
311 11,000
101 11,000
512 2,500
101 2,500
511 7,500
121 7,500
PR Debit Credit
514 ₱ 500
152 ₱ 500
513 1,000
131 1,000
PR Debit Credit
401 ₱ 80,000
601 ₱ 80,000
601 27,500
501 16,000
511 7,500
512 2,500
513 1,000
514 500
601 52,500
301 52,500
301 11,000
311 11,000
GENERAL LEDGER
Account Name: CASH
Date Particulars
6/1/2020 To record initial investment of Mr. Kan
9/1/2020 To record purchase of supplies paid for cash
01/13/2020 To record payment of one-year insurance
01/16/2020 To record collections from customers on account
01/20/2020 To record cash paid as partial payment for purchase of office equipment on account
01/23/2020 To record money borrowed from the bank
01/31/2020 To record payment of salaries
01/31/2020 To record Mr. Kan's personal withdrawal
01/31/2020 To record payment of telephone bill
GRAND TOTAL
GENERAL LEDGER
Date Particulars
01/15/2020 To record services rendered to a customer on account
01/16/2020 To record collections from customers on account
01/22/2020 To record service rendered billed to a customer
GRAND TOTAL
GENERAL LEDGER
Account Name: SUPPLIES
Date Particulars
9/1/2020 To record purchase of supplies paid for cash
01/31/2020 To record supplies used
GRAND TOTAL
GENERAL LEDGER
Account Name: PREPAID INSURANCE
Date Particulars
01/13/2020 To record payment of one-year insurance
01/31/2020 To record prepaid insurance expired
GRAND TOTAL
GENERAL LEDGER
Account Name: OFFICE EQUIPMENT
Date Particulars
7/1/2020 To record purchase of office equipment on account
GRAND TOTAL
GENERAL LEDGER
Account Name: ACCUMULATED DEPRECIATION - OFFICE EQUIPMENT
Date Particulars
01/31/2020 To record depreciation on office equipment
GRAND TOTAL
L LEDGER
Account Name: ACCOUNTS P
Balance
L LEDGER
Balance
L LEDGER
Balance
L LEDGER
Balance
L LEDGER
Balance
Particulars Post
To record purchase of office equipment on account GJ1
To record cash paid as partial payment for purchase of office equipment on account GJ1
GRAND TOTAL
GENERAL LEDGER
unt Name: LOANS PAYABLE
Particulars Post
To record money borrowed from the bank GJ1
GRAND TOTAL
Account Name: KAN, CAPITAL
GENERAL LEDGER
ount Name: KAN, DRAWINGS
Balance
Credit Date
₱ 80,000 ₱ 80,000 01/15/2020
52,500 01/22/2020
0 01/31/2020
₱ 80,000 ₱ -
GENERAL LEDGER
ount Name: SERVICE REVENUE
Particulars Post
To record services rendered to a customer on account GJ1
To record service rendered billed to a customer GJ1
To close revenue account to income summary GJ4
GRAND TOTAL
Account Name: SALARIES EXPENSE
Date
01/31/2020
01/31/2020
Date
01/31/2020
01/31/2020
Date
01/31/2020
01/31/2020
Date
01/31/2020
01/31/2020
GENERAL LEDGER
unt Name: SALARIES EXPENSE
GENERAL LEDGER
unt Name: SUPPLIES EXPENSE
GENERAL LEDGER
unt Name: UTILITIES EXPENSE
GENERAL LEDGER
unt Name: INSURANCE EXPENSE
GENERAL LEDGER
unt Name: DEPRECIATION EXPENSE
Debit Credit
₱ 16,000
0
₱ -
Balance
Debit Credit
₱ 7,500
0
₱ -
Balance
Debit Credit
₱ 2,500
0
₱ -
Balance
Debit Credit
₱ 1,000
0
₱ -
Balance
Balance
Debit Credit
₱ 500
0
₱ -
Kan Taxes and Accounting Services
Revenues:
Service Revenue ₱ 80,000
Total Revenue: ₱ 80,000
Less Operating Expenses:
Salaries Expense 16,000
Supplies Expense 7,500
Utilities Expense 2,500
Insurance Expense 1,000
Depreciation Expense 500
Total Expenses: 27,500
ASSETS
Current Assets
Cash P 174,000
Accounts Receivable 40,000
Supplies 12,000
Prepaid Insurance 11,000
Total Current Assets P 237,000
Non-Current Assets
Office Equipment P 33,000
Less: Accumulated Depreciation-Office Equipment (500) 32,500
TOTAL ASSETS P 269,500