PT Bateeq Cantiq
PT Bateeq Cantiq
PT Bateeq Cantiq
TRIAL BALANCE
PER NOVEMBER 2018
No.
Account Name Debit Credit
Acc
1110 Cash in Bank Rp 1,142,837,750
1120 Petty Cash Rp 34,375,100
1130 Account Receivable Rp 292,675,000
1140 Allowance for Bad Debt Rp 127,838,250
1150 Merchandise Inventory Rp 199,000,000
1160 Office Supplies Rp 27,562,275
1170 Prepaid Insurance Rp 102,375,000
1180 Prepaid Rent
1190 Value Added Tax (VAT) Receivable
1191 VAT (Value Added Tax) In
1192 Prepaid Income Tax Article 25 Rp 18,388,200
1193 Investment Rp 100,000,000
1310 Land Rp 3,500,000,000
1320 Building Rp 2,007,000,000
1321 Acc. Depreciation Building Rp 493,387,500
1330 Equipment Rp 543,463,200
1331 Acc. Depreciation Equipment Rp 334,003,425
1340 Automobile Rp 698,904,000
1341 Acc. Depreciation Automobile Rp 429,534,750
2110 Account Payable Rp 175,952,500
2120 Accrued Expense Rp 42,598,425
2130 VAT (Value Added Tax) Payable Rp 31,563,250
2131 VAT (Value Added Tax) Out
2132 Income Tax Article 21 Payable Rp 3,792,750
2133 Income Tax Article 23 Payable
2134 Income Tax Article 25/29 Payable Rp 3,277,850
2135 Dividend Payable
2136 Notes Payable
2210 CIMB Niaga, Loan Rp 240,625,000
3110 Stock Capital Rp 1,987,500,000
3130 Retained Earnings Rp 4,328,107,500
3140 Dividend
3150 Income Summary
4110 Sales Rp 3,500,751,325
4120 Sales Discount Rp 51,151,750
4130 Sales Return and Allowance Rp 16,275,250
5110 Cost of Merchandise Sold Rp 1,978,751,575
6110 Utilities Expense Rp 27,067,425
6120 Office Supplies Expense Rp 24,938,160
6130 Bad Debt Expense Rp 79,520,250
6140 Spoilage Expense Rp 10,338,650
6150 Depreciation Expense Rp 234,342,075
6160 Insurance Expense Rp 86,625,000
6170 Rent Expense
6180 Wages and Salaries Expense Rp 441,515,250
6190 Advertising Expense Rp 28,161,050
6200 Other Operating Expense Rp 45,073,900
8110 Interest Income Rp 26,177,850
8140 Freight Collected Rp 18,462,800
8150 Late Fees Collected Rp 8,444,350
8160 Dividend Revenue
9110 Interest Expense Rp 19,031,250
9120 Bank Service Charge Rp 14,836,725
9140 Income Tax Article 4(2) Expens Rp 10,728,490
9145 Income Tax Expense Rp -
9150 Late Fees Expense Rp 17,080,200
TOTAL Rp 11,752,017,525 Rp 11,752,017,525
DEBIT
Date Doc.No Description Others
Acc. Receivable Cost of merchandise sold
Acc.no
6 F/BC/12-01 Hasan Batik Rp 64,625,000.00 Rp 47,000,000.00
10 F/BC/12-02 Batik Kencana Ungu Rp 118,250,000.00 Rp 86,000,000.00
17 F/BC/12-03 Rumah Batik Komar Rp 78,375,000.00 Rp 57,000,000.00
25 F/BC/12-04 Rumah Batik Cipaku Rp 75,281,250.00 Rp 54,250,000.00
27 F/BC/12-05 Hasan Batik Rp 115,843,750.00 Rp 84,250,000.00
RECAPITULATION
DEBIT CREDIT
No. Akun Amount No. Akun Amount
1130 Rp 452,375,000.00 1150 Rp 328,500,000.00
5110 Rp 328,500,000.00 2131 Rp 41,125,000.00
4110 Rp 411,250,000.00
RECAPITULATIO
DEBIT
No. Akun
1110
4120
Jumlah
RECAPITULATION
DEBIT CREDIT
Amount No. Akun Amount
Rp 557,049,750 1130 Rp 366,887,500
Rp 7,337,750 2136 Rp 92,500,000
3110 Rp 105,000,000
RECAPITULATION
DEBIT
No. Akun
1150
1191
RECAPITULATION
DEBIT CREDIT
Amount No. Akun Amount
Rp 270,500,000.00 2110 Rp 297,550,000.00
Rp 27,050,000.00
Rp 297,550,000.00 Rp 297,550,000.00
DEBIT
Date Doc.No Description Others
Acc. Payable
Acc.no
3 BKK 12/01 Sewa dibayar di muka 1180
3 BKK 12/02 Gaji karyawan bulan November 2120
5 BKK 12/03 Pelunasan pajak 2130
2132
2134
11 BKK 12/04 Paradise Batik Rp 61,892,500
15 BKK 12/05 Batik Unggul Jaya Rp 62,837,500
23 BKK 12/06 Batik Air Mas Rp 51,222,500
27 BKK 12/07 Pembayaran angsuran utang 2210
9110
30 BKK 12/08 Pengisian kembali kas kecil 2120
6200
6190
RECAPITULATION
DEBIT CREDIT
No. Akun Amount No. Akun
1180 Rp 31,980,000 1110
2110 Rp 175,952,500
2120 Rp 42,598,425
2130 Rp 31,563,250
2132 Rp 3,792,750
2134 Rp 3,277,850
2210 Rp 4,375,000
6190 Rp 1,500,000
6200 Rp 3,410,925
9110 Rp 3,609,375
Jumlah Rp 302,060,075 Jumlah
DEBIT CREDIT
Others Others
Cash in bank
Amount Acc. No Amount
Rp 31,980,000 Rp 31,980,000
Rp 40,137,750 Rp 40,137,750
Rp 31,563,250 Rp 38,633,850
Rp 3,792,750
Rp 3,277,850
Rp 61,892,500
Rp 62,837,500
Rp 51,222,500
Rp 4,375,000 Rp 7,984,375
Rp 3,609,375
Rp 2,460,675 Rp 7,371,600
Rp 3,410,925
Rp 1,500,000
CREDIT
Amount
Rp 302,060,075
Rp 302,060,075
post
Date Doc. No Description debit
ref
Des 24 NK-12-10 Account Payable Rp 8,690,000
VAT (Value Added Tax) In
Merchandise Inventory
Rp 790,000
Rp 7,900,000
Rp 10,862,500
Rp 7,900,000
Rp 14,475,000
RECAPITULATION
DEBIT CREDIT
No. Akun Amount No. Akun Amount
1140 Rp 14,475,000 1130 Rp 25,337,500
1150 Rp 7,900,000 1150 Rp 7,900,000
2110 Rp 8,690,000 1191 Rp 790,000
2131 Rp 987,500 5110 Rp 7,900,000
4130 Rp 9,875,000
No. : BC 001
Product : Batik Cirebon
Location :
17 30 Rp 900,000 Rp 27,000,000
23 50 Rp 950,000 Rp 47,500,000
25 10 Rp 900,000 Rp 9,000,000
20 Rp 950,000 Rp 19,000,000
30 Rp 28,000,000
27 50 Rp 950,000 Rp 47,500,000
28 -5 Rp 950,000 -Rp 4,750,000
29 45 Rp 950,000 Rp 42,750,000
Balance
Units Unit Cost Total
110 Rp 900,000 Rp 99,000,000
80 Rp 900,000 Rp 72,000,000
40 Rp 900,000 Rp 36,000,000
40 Rp 900,000 Rp 36,000,000
35 Rp 950,000 Rp 33,250,000
75 Rp 69,250,000
10 Rp 900,000 Rp 9,000,000
35 Rp 950,000 Rp 33,250,000
45 Rp 42,250,000
10 Rp 900,000 Rp 9,000,000
85 Rp 950,000 Rp 80,750,000
95 Rp 89,750,000
10 Rp 900,000 Rp 9,000,000
80 Rp 950,000 Rp 76,000,000
90 Rp 85,000,000
60 Rp 950,000 Rp 57,000,000
10 Rp 950,000 Rp 9,500,000
15 Rp 950,000 Rp 14,250,000
60 Rp 950,000 Rp 57,000,000
INVENTORY CARD
No. : BP 002
Product : Batik Pekalongan
Location :
CUS-002
Balance
Debit Credit
Rp 84,800,000
Rp -
Rp 75,281,250
CUS-003
Balance
Debit Credit
Rp 92,725,000
Rp 157,350,000
Rp 64,625,000
Rp 180,468,750
Rp 169,606,250
CUS-004
Balance
Debit Credit
Rp 100,675,000
Rp -
Rp 78,375,000
CUS-005
Balance
Debit Credit
Rp 118,250,000
Rp 29,562,500
Supplier Name : Batik Air Mas Code : SUP-001
Post Balance
Date Description DEBIT CREDIT
Ref Debit
Des 1 Saldo awal Rp 51,222,500
23 BKK 12/06 Rp 51,222,500
Balance
Credit
Rp 62,837,500
Rp -
Rp 115,775,000
Rp 107,085,000
Balance
Credit
Rp 61,892,500
Rp -
Rp 99,000,000
Balance
Credit
Rp 82,775,000
Balance
Credit
ACCOUNT RECEIVABLE SCHEDULE
1120
Balance
Debit Credit
Rp 34,375,100
1130
Balance
Debit Credit
Rp 292,675,000
Rp 745,050,000
Rp 378,162,500
Rp 352,825,000
1140
Balance
Debit Credit
Rp 127,838,250
Rp 113,363,250
1150
Balance
Debit Credit
Rp 199,000,000
Rp 129,500,000
Rp 141,000,000
Rp 141,000,000
1160
Balance
Debit Credit
Rp 27,562,275
1170
Balance
Debit Credit
Rp 102,375,000
1180
Balance
Debit Credit
Rp 31,980,000
1190
Balance
Debit Credit
1191
Balance
Debit Credit
Rp 27,050,000
Rp 26,260,000
1192
Balance
Debit Credit
Rp 18,388,200
1193
Balance
Debit Credit
Rp 100,000,000
General Ledger
1320
Balance
Debit Credit
Rp 2,007,000,000
1321
Balance
Debit Credit
Rp 493,387,500
1330
Balance
Debit Credit
Rp 543,463,200
1331
Balance
Debit Credit
Rp 334,003,425
1340
Balance
Debit Credit
Rp 698,904,000
1341
Balance
Debit Credit
Rp 429,534,750
General Ledger
Acc. Name : VAT (Value Added Tax) Payable Account No. : 2130
Post Balance
Date Description DEBIT CREDIT
Ref Debit
Des 1 Saldo awal Rp 31,563,250
31 Cash Payment Journal Rp 31,563,250
Acc. Name : VAT (Value Added Tax) Out Account No. : 2131
Post Balance
Date Description DEBIT CREDIT
Ref Debit
Des 1 Saldo awal Rp -
31 Sales Journal Rp 41,125,000
31 General Journal Rp 987,500
Acc. Name : Income Tax Article 21 Payable Account No. : 2132
Post Balance
Date Description DEBIT CREDIT
Ref Debit
Des 1 Saldo awal Rp 3,792,750
31 Cash Payment Journal Rp 3,792,750
Acc. Name : Income Tax Article 25/29 Payable Account No. : 2134
Post Balance
Date Description DEBIT CREDIT
Ref Debit
Des 1 Saldo awal Rp 3,277,850
31 Cash Payment Journal Rp 3,277,850
Balance
Credit
Rp 42,598,425
Rp -
Balance
Credit
Rp 31,563,250
Rp -
Balance
Credit
Rp -
Rp 41,125,000
Rp 40,137,500
Balance
Credit
Rp 3,792,750
Rp -
Balance
Credit
Rp -
Balance
Credit
Rp 3,277,850
Rp -
Balance
Credit
Rp -
Balance
Credit
Rp -
Rp 92,500,000
General Ledger
3130
Balance
Debit Credit
Rp 4,328,107,500
3140
Balance
Debit Credit
Rp -
3150
Balance
Debit Credit
Rp -
General Ledger
4120
Balance
Debit Credit
Rp 51,151,750
Rp 58,489,500
4130
Balance
Debit Credit
Rp 16,275,250
Rp 26,150,250
General Ledger
6120
Balance
Debit Credit
Rp 24,938,160
6130
Balance
Debit Credit
Rp 79,520,250
6140
Balance
Debit Credit
Rp 10,338,650
6150
Balance
Debit Credit
Rp 234,342,075
6160
Balance
Debit Credit
Rp 86,625,000
6170
Balance
Debit Credit
Rp -
6180
Balance
Debit Credit
Rp 441,515,250
6190
Balance
Debit Credit
Rp 28,161,050
Rp 29,661,050
6200
Balance
Debit Credit
Rp 45,073,900
Rp 48,484,825
General Ledger
Balance
Credit
Rp 18,462,800
Balance
Credit
Rp 8,444,350
Balance
Credit
Rp -
General Ledger
9120
Balance
Debit Credit
Rp 14,836,725
9140
Balance
Debit Credit
Rp 10,728,490
9145
Balance
Debit Credit
Rp -
9150
Balance
Debit Credit
Rp 17,080,200
PT BATEEQ CANTIQ
UNADJUSTED TRIAL BALANCE
PER DECEMBER 2018
post
Date Doc. No Description debit credit
ref
Des 31 Depreciation Expense Rp 21,303,825
Acc. Depreciation Building Rp 8,362,500
Acc. Depreciation Equipment Rp 5,661,075
Acc. Depreciation Automobile Rp 7,280,250
Utilities Expense Rp 2,460,675
Accrued Expense Rp 2,460,675
Insurance Expense Rp 7,875,000
Prepaid Insurance Rp 7,875,000
Rent Expense Rp 1,332,500
Prepaid Rent Rp 1,332,500
Office Supplies Expense Rp 10,472,000
Office Supplies Rp 10,472,000
Allowance for Bad Debt Rp 42,798,250
Bad Debt Expense Rp 42,798,250
VAT (Value Added Tax) Out Rp 40,137,500
VAT (Value Added Tax) In Rp 26,260,000
VAT (Value Added Tax) Payable Rp 13,877,500
Prepaid Income Tax Article 25 Rp 2,281,750
Income Tax Article 25/29 Payable Rp 2,281,750
Bank Service Charge Rp 157,750
Income Tax Article 4(2) Expense Rp 300,725
Cash in Bank Rp 2,259,325
Interest Income Rp 2,717,800
Wages and Salaries Expense Rp 49,608,024
Income Tax Article 21 Payable Rp 9,470,274
Accrued Expense Rp 40,137,750
Interest Expense Rp 1,156,250
Accrued Expense Rp 1,156,250
Total Rp 182,143,574 Rp 182,143,574
RECAPITULATION
DEBIT CREDIT
No. Akun Amount No. Akun Amount
1110 Rp 2,259,325 1160 Rp 10,472,000
1140 Rp 42,798,250 1170 Rp 7,875,000
1192 Rp 2,281,750 1180 Rp 1,332,500
2131 Rp 40,137,500 1191 Rp 26,260,000
6110 Rp 2,460,675 1321 Rp 8,362,500
6120 Rp 10,472,000 1331 Rp 5,661,075
6150 Rp 21,303,825 1341 Rp 7,280,250
6160 Rp 7,875,000 2120 Rp 43,754,675
6170 Rp 1,332,500 2130 Rp 13,877,500
6180 Rp 49,608,024 2132 Rp 9,470,274
9110 Rp 1,156,250 2134 Rp 2,281,750
9120 Rp 157,750 6130 Rp 42,798,250
9140 Rp 300,725 8110 Rp 2,717,800
Total Rp 182,143,574 Total Rp 182,143,574
Acc. Trial Balance
numbe Acc. Name
r Debit Credit
1110 Cash in Bank Rp 1,397,827,425 Rp -
1120 Petty Cash Rp 34,375,100 Rp -
1130 Account Receivable Rp 352,825,000 Rp -
1140 Allowance for Bad Debt Rp - Rp 113,363,250
1150 Merchandise Inventory Rp 141,000,000 Rp -
1160 Office Supplies Rp 27,562,275 Rp -
1170 Prepaid Insurance Rp 102,375,000 Rp -
1180 Prepaid Rent Rp 31,980,000 Rp -
1190 Value Added Tax (VAT) Receivable Rp - Rp -
1191 VAT (Value Added Tax) In Rp 26,260,000 Rp -
1192 Prepaid Income Tax Article 25 Rp 18,388,200 Rp -
1193 Investment Rp 100,000,000 Rp -
1310 Land Rp 3,500,000,000 Rp -
1320 Building Rp 2,007,000,000 Rp -
1321 Acc. Depreciation Building Rp - Rp 493,387,500
1330 Equipment Rp 543,463,200 Rp -
1331 Acc. Depreciation Equipment Rp - Rp 334,003,425
1340 Automobile Rp 698,904,000 Rp -
1341 Acc. Depreciation Automobile Rp - Rp 429,534,750
2110 Account Payable Rp - Rp 288,860,000
2120 Accrued Expense Rp - Rp -
2130 VAT (Value Added Tax) Payable Rp - Rp -
2131 VAT (Value Added Tax) Out Rp - Rp 40,137,500
2132 Income Tax Article 21 Payable Rp - Rp -
2133 Income Tax Article 23 Payable Rp - Rp -
2134 Income Tax Article 25/29 Payable Rp - Rp -
2135 Dividend Payable Rp - Rp -
2136 Notes Payable Rp - Rp 92,500,000
2210 CIMB Niaga, Loan Rp - Rp 236,250,000
3110 Stock Capital Rp - Rp 2,092,500,000
3130 Retained Earnings Rp - Rp 4,328,107,500
3140 Dividend Rp - Rp -
3150 Income Summary Rp - Rp -
4110 Sales Rp - Rp 3,912,001,325
4120 Sales Discount Rp 58,489,500 Rp -
4130 Sales Return and Allowance Rp 26,150,250 Rp -
5110 Cost of Merchandise Sold Rp 2,299,351,575 Rp -
6110 Utilities Expense Rp 27,067,425 Rp -
6120 Office Supplies Expense Rp 24,938,160 Rp -
6130 Bad Debt Expense Rp 79,520,250 Rp -
6140 Spoilage Expense Rp 10,338,650 Rp -
6150 Depreciation Expense Rp 234,342,075 Rp -
6160 Insurance Expense Rp 86,625,000 Rp -
6170 Rent Expense Rp - Rp -
6180 Wages and Salaries Expense Rp 441,515,250 Rp -
6190 Advertising Expense Rp 29,661,050 Rp -
6200 Other Operating Expense Rp 48,484,825 Rp -
8110 Interest Income Rp - Rp 26,177,850
8140 Freight Collected Rp - Rp 18,462,800
8150 Late Fees Collected Rp - Rp 8,444,350
8160 Dividend Revenue Rp - Rp -
9110 Interest Expense Rp 22,640,625 Rp -
9120 Bank Service Charge Rp 14,836,725 Rp -
9140 Income Tax Article 4(2) Expense Rp 10,728,490 Rp -
9145 Income Tax Expense Rp - Rp -
9150 Late Fees Expense Rp 17,080,200 Rp -
Rp 12,413,730,250 Rp 12,413,730,250
TOTAL
WORKSHEET
Revenues
Sales Rp 3,912,001,325
Sales Discount Rp 58,489,500
Sales Return and Allowance Rp 26,150,250
Rp 84,639,750
Additional Paid in
Description Capital Stock Retained Earning
Capital
Balance at December, 1, .... Rp 1,987,500,000 Rp 105,000,000 Rp 4,328,107,500
Rp 6,315,607,500
Rp 6,904,773,076
STATEMENT OF FINANCIAL POSITION
ASSETS
CURRENT ASSETS
Cash in Bank Rp 1,400,086,750
Petty Cash Rp 34,375,100
Account Receivable Rp 352,825,000
Allowance for Bad Debt -Rp 70,565,000
Merchandise Inventory Rp 141,000,000
Office Supplies Rp 17,090,275
Prepaid Insurance Rp 94,500,000
Prepaid Rent Rp 30,647,500
Value Added Tax (VAT) Receivable Rp -
VAT (Value Added Tax) In Rp -
Prepaid Income Tax Article 25 Rp 20,669,950
Investment Rp 100,000,000
Total Current Assets Rp 2,120,629,575
FIXED ASSETS
Land Rp 3,500,000,000
Building Rp 2,007,000,000
Acc. Depreciation Building -Rp 501,750,000
Equipment Rp 543,463,200
Acc. Depreciation Equipment -Rp 339,664,500
Automobile Rp 698,904,000
Acc. Depreciation Automobile -Rp 436,815,000
LIABILITIES
CURRENT LIABILITIES
Account Payable Rp 288,860,000
Accrued Expense Rp 43,754,675
VAT (Value Added Tax) Payable Rp 13,877,500
VAT (Value Added Tax) Out Rp -
Income Tax Article 21 Payable Rp 9,470,274
Income Tax Article 23 Payable Rp -
Income Tax Article 25/29 Payable Rp 2,281,750
Dividend Payable Rp -
Notes Payable Rp 92,500,000
Owners Equity
Stock Capital Rp -
Retained Earnings Rp 4,812,273,076
Dividend Rp -
Income Summary Rp -
Total Owners Equity Rp 4,812,273,076
TOTAL LIABILITIES Rp 5,499,267,275
CASH FLOW STATEMENT
For the year ended...............
Cash Payment
To Supplier Rp 175,952,500
Prepaid Rent Rp 31,980,000
Accrued Expense Rp 42,598,425
VAT (Value Added Tax) Payable Rp 31,563,250
Income Tax Article 21 Payable Rp 3,792,750
Income Tax Article 25/29 Payable Rp 3,277,850
Advertising Expense Rp 1,500,000
Other Operating Expense Rp 3,410,925
Interest Expense Rp 3,609,375
Bank Service Charge Rp 157,750
Income Tax Article 4(2) Expense Rp 300,725
Cash Payment form Operating Activities Rp 298,143,550
Net Cash Provided by Operating Activities
Rp 257,249,000
Rp 1,142,837,750
Rp 1,400,086,750
Rp 1,400,086,750
GENERAL JOURNAL - ADJUSTING ENTRIES
post
Date Doc. No Description ref debit
TOTAL Rp 7,935,608,250
credit
Rp 3,967,804,125
Rp 58,489,500
Rp 26,150,250
Rp 2,299,351,575
Rp 29,528,100
Rp 35,410,160
Rp 36,722,000
Rp 10,338,650
Rp 255,645,900
Rp 94,500,000
Rp 1,332,500
Rp 491,123,274
Rp 29,661,050
Rp 48,484,825
Rp 23,796,875
Rp 14,994,475
Rp 11,029,215
Rp -
Rp 17,080,200
Rp 484,165,576
Rp 7,935,608,250
RECAPITULATION
DEBIT CREDIT
No. Akun Amount No. Akun Amount
3150 Rp 3,967,804,125 3110 Rp 484,165,576
4110 Rp 3,912,001,325 3150 Rp 3,967,804,125
8110 Rp 28,895,650 4120 Rp 58,489,500
8140 Rp 18,462,800 4130 Rp 26,150,250
8150 Rp 8,444,350 5110 Rp 2,299,351,575
8160 Rp - 6110 Rp 29,528,100
6120 Rp 35,410,160
6130 Rp 36,722,000
6140 Rp 10,338,650
6150 Rp 255,645,900
6160 Rp 94,500,000
6170 Rp 1,332,500
6180 Rp 491,123,274
6190 Rp 29,661,050
6200 Rp 48,484,825
9110 Rp 23,796,875
9120 Rp 14,994,475
9140 Rp 11,029,215
9145 Rp -
9150 Rp 17,080,200
Total Rp 7,935,608,250 Total Rp 7,935,608,250
PT BATEEQ CANTIQ
POST CLOSING TRIAL BALANCE
PER DECEMBER 2018