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Lembar Jawaban Kosong Praktikum Akuntansi Perusahaan Dagang

The document presents the trial balance for UD. Sejuk Indonesia as of November 30, 2024, detailing various accounts with their respective debit and credit amounts, totaling Rp 2,942,665,000 for both sides. It includes sections for purchase, sales, cash receipt, cash payment, general journal, petty cash, inventory cards, and subsidiary ledgers for accounts payable and receivable. The financial records reflect the company's transactions and account balances for the month of December 2024.

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mandaaa417
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0% found this document useful (0 votes)
67 views46 pages

Lembar Jawaban Kosong Praktikum Akuntansi Perusahaan Dagang

The document presents the trial balance for UD. Sejuk Indonesia as of November 30, 2024, detailing various accounts with their respective debit and credit amounts, totaling Rp 2,942,665,000 for both sides. It includes sections for purchase, sales, cash receipt, cash payment, general journal, petty cash, inventory cards, and subsidiary ledgers for accounts payable and receivable. The financial records reflect the company's transactions and account balances for the month of December 2024.

Uploaded by

mandaaa417
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLS, PDF, TXT or read online on Scribd
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UD.

SEJUK INDONESIA
TRIAL BALANCE
PER 30 NOVEMBER 2024
(Dalam rupiah)
KODE NAMA AKUN DEBET KREDIT
1-1100 Cash in Bank Rp 1,125,960,000 Rp -
1-1200 Petty Cash Rp 10,000,000 Rp -
1-1300 Accounts Receivable Rp 337,995,000 Rp -
1-1400 Allowance for Doubtful Debt Rp 12,800,000
1-1500 Merchandise Inventory Rp 415,500,000 Rp -
1-1600 Office Supplies Rp 10,300,000 Rp -
1-1700 Prepaid Insurance Rp 17,500,000 Rp -
1-1800 Prepaid Rent Rp 22,500,000 Rp -
1-1900 PPN Income Rp 48,760,000
1-2100 Equipment at Cost Rp 22,000,000 Rp -
1-2110 Equipment Accum Dep Rp - Rp 16,500,000
2-1100 Accounts Payable Rp - Rp 195,804,000
2-1200 Expense Payable Rp - Rp 900,000
2-1300 Income Tax Payable (21) Rp - Rp -
2-1400 Income Tax Payable (22) Rp - Rp -
2-1500 Income Tax Payable (23) Rp - Rp -
2-1600 Income Tax Payable (25/29) Rp - Rp -
2-1700 PPN Payable Rp - Rp -
2-1800 PPN Outcome Rp - Rp 81,610,000
2-2100 Bank Mandiri Loan Rp - Rp 150,000,000
3-1100 Deva Capital Rp - Rp 922,650,000
3-1200 Deva Drawing Rp 25,400,000 Rp -
3-1300 Income Summary Rp - Rp -
4-1100 Sales Rp - Rp 1,549,851,000
4-1200 Sales Return Rp 24,000,000 Rp -
4-1300 Sales Discount Rp - Rp -
4-1400 Freight Collected Rp - Rp 6,750,000
5-1100 Cost of goods Sold Rp 698,400,000 Rp -
5-1200 Freight Paid Rp 11,050,000 Rp -
6-1000 Advertising Expenses Rp 4,400,000 Rp -
6-1100 Telephone, Internet & Electricity ex Rp 11,400,000 Rp -
6-1200 Office Supplies Expenses Rp 4,950,000 Rp -
6-1300 Bad Debt Expense Rp - Rp -
6-1400 Depreciation Expense Rp 16,500,000 Rp -
6-1500 Insurance Expense Rp 14,300,000 Rp -
6-1600 Rent Expense Rp 23,300,000 Rp -
6-1700 Wages & Salaries Expense Rp 36,300,000 Rp -
6-1800 Maintenance expense Rp 8,450,000
6-1900 Other Operating Expense Rp 19,267,000 Rp -
8-1100 Interest Revenue Rp - Rp 5,800,000
9-1100 Interest Expense Rp 22,800,000 Rp -
9-1200 Bank Service Charge Rp 6,600,000 Rp -
9-1300 Income Tax Expense Rp 5,033,000 Rp -
TOTAL Rp 2,942,665,000 Rp 2,942,665,000
UD. SEJUK INDONESIA
PURCHASE JOURNAL
DECEMBER 2024

DEBIT CREDIT
FACTUR POS MERCHANDIS FREIGHT ACCOUNTS
DATE DESCRIPTION PPN Income
NO. REF E INVENTORY PAID PAYABLE
(1-1500) (1-1900) (5-1200) (2-1100)

TOTAL

ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT

0
UD. SEJUK INDONESIA
SALES JOURNAL
DECEMBER 2024

DEBIT CREDIT
FACTUR POS ACCOUNTS COST OF PPN
DATE DESCRIPTION SALES
NO. REF RECEIVABLE GOODS SOLD OUTCOME
(1-1300) 5-1100 (4-1100) (2-1800)
Des 2

Des 3

ACCOUNT NO. AMOUNT

-27,000,000
-27,000,000
CREDIT
FREIGHT MERCHANDISE
COLLECTED INVENTORY
(4-1400) (1-1500)

ACCOUNT NO. AMOUNT

0
UD. SEJUK INDONESIA
CASH RECEIPT JOURNAL
DECEMBER 2024

DEBIT CREDIT
NO. POS
DATE DESCRIPTION OTHERS OTHERS
EVIDENCE REF CASH IN ACCOUNT
ACCOUNT ACCOUNT
BANK ACCOUNT TOTAL RECEIVABLE ACCOUNT TOTAL
NO NO
(1-1100) (1-1300)

TOTAL

ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT

-
UD. SEJUK INDONESIA
CASH PAYMENT JOURNAL
DECEMBER 2024
(In Rupiah)

DEBIT CREDIT

NO. CHECK POS OTHERS OTHERS


DATE DESCRIPTION ACCOUNT CASH IN
EVIDENCE NO. REFF
PAYABLE BANK
ACC. ACCOUNT
ACCOUNT NAME TOTAL ACC. NO TOTAL
NO NAME
(2-1100) (√) (1-1100) (√)

ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT

0
UD. SEJUK INDONESIA
GENERAL JOURNAL
DECEMBER 2024

EVIDEN
DATE DESCRIPTION POS REF CREDIT
CE NO
DES 3 SALES 27,000,000
PPN OUTCOME 2,970,000
ACC RECEIVABLE 29,970,000
MERCHANDISE INVENTORY -
COST OF GOOD SOLD -

TOTAL 29,970,000 29,970,000

ACCOUNT NO. AMOUNT


ACCOUNT NO.
AMOUNT
UD. SEJUK INDONESIA
PETTY CASH JOURNAL
DECEMBER 2024

DEBIT KREDIT
EVIDENCE
DATE DESCRIPTION PETTY CASH
NO ACCOUNTS ACC. NO TOTAL
(1-1200)

DEBIT CREDIT
ACCOUNT NO.AMOUNTACCOUNT NO. AMOUNT
UD. SEJUK INDONESIA
INVENTORY CARD
DECEMBER, 2024
NAME : AC ASRI 2PK
KODE : AR18
( In Rupiah )
EVIDEN IN OUT
DATE DESCRIPTION
CE NO UNIT PRICE TOTAL UNIT

UD. SEJUK INDONESIA


INVENTORY CARD
DECEMBER, 2024
NAME : AC COOL 2PK
KODE : CL18
( In Rupiah )
EVIDEN IN OUT
DATE DESCRIPTION
CE NO UNIT PRICE TOTAL UNIT
DONESIA
CARD
2024

METODE : MOVING AVERAGE


OUT BALANCE
PRICE TOTAL UNIT PRICE TOTAL

DONESIA
CARD
2024

METODE : MOVING AVERAGE


OUT BALANCE
PRICE TOTAL UNIT PRICE TOTAL
UD. SEJUK INDONESIA
RECAPITULATION JOURNAL
SALES JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
1-1300 635,480,000 1-1500 462,800,000
5-1100 462,800,000 2-1800 62,480,000
4-1100 568,000,000
4-1400 5,000,000

TOTAL 1,098,280,000 TOTAL 1,098,280,000

CASH RECEIPT JOURNAL RECAPITULATION


DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
1-1100 399,935,000 1-1300 377,180,000
5-1100 16,700,000 1-1500 16,700,000
2-1800 2,255,000
4-1100 20,500,000

TOTAL 416,635,000 TOTAL 416,635,000

PURCHASES JOURNAL RECAPITULATION


DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
1-1500 580,500,000 2-1100 646,655,000
1-1900 63,855,000
5-1200 2,300,000

Total 646,655,000 Total 646,655,000

CASH PAYMENT JOURNAL RECAPITULATION


DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
2-1100 60,606,000 1-1100 90,076,000
1-1200 1,600,000 2-1300 100,000
2-2100 15,000,000 2-1500 30,000
6-1700 10,000,000
6-1800 1,500,000
9-1100 1,500,000
Total 90,206,000 Total 90,206,000

MEMORIAL JOURNAL RECAPITULATION


DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
1-1500 22,000,000 1-1300 29,970,000
2-1100 18,093,000 1-1500 16,300,000
2-1800 2,970,000 1-1900 1,793,000
4-1200 27,000,000 5-1100 22,000,000
TOTAL 70,063,000 TOTAL 70,063,000
PETTY CASH JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
1-1600 700,000 1-1200 1,600,000
2-1200 900,000

TOTAL 1,600,000 TOTAL 1,600,000


UD. SEJUK INDONESIA
SUBSIDIARY LEDGER-ACCOUNT PAYABLE
DECEMBER, 2024
(In Rupiah)

Nama : PT RAMA JAYA Kode : S001

Balance
Date Description Ref Debit Credit
Debit
2024

DEC

Nama : PT RASKA BERKAH Kode : S002

Balance
Date Description Ref Debit Credit
Debit
2024

DEC

Nama : TUNAS NALENDRA Kode : S003


Balance
Date Description Ref Debit Credit
Debit
2024
DEC
Nama : SMK NEGERI 100 Kode : S004
Balance
Date Description Ref Debit Credit
Debit
2024
DEC
LE

Balance
Credit

Balance
Credit

Balance
Credit
Balance
Credit
UD. SEJUK INDONESIA
SUBSIDIARY LEDGER-ACCOUNT RECEIVABLE
DECEMBER, 2024
(In Rupiah)

Nama : Toko Adnan Kode : C001

Balance
Date Description Ref Debit Credit
Debit Credit

2024

DEC

Nama : Toko Faras Kode : C002

Balance
Date Description Ref Debit Credit
Debit Credit

2024

DEC

Nama : Toko Zahra Kode : C003

Balance
Date Description Ref Debit Credit
Debit Credit

2024

DEC
Nama : Toko Zulfa Kode : C004
Balance
Date Description Ref Debit Credit
Debit Credit
2024
DEC
UD. SEJUK INDONESIA
GENERAL LEDGER
DECEMBER 2024
Account Number:
Account: Cash in Bank GENERAL LEDGER
1-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Petty Cash GENERAL LEDGER
1-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Accounts Receivable GENERAL LEDGER
1-1300
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Allowance for Doubtful Debt GENERAL LEDGER
1-1400
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Merchandise Inventory GENERAL LEDGER
1-1500
Balance
Date Description Ref. Debit Credit
Debit Credit

Account: Office Supplies GENERAL LEDGER Account Number:


1-1600
Date Description Ref. Debit Credit Balance
Debit Credit
Dec
Account Number:
Account: Prepaid Insurance GENERAL LEDGER
1-1700
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Prepaid Rent GENERAL LEDGER
1-1800
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: PPN Income GENERAL LEDGER
1-1900
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Equipment at Cost GENERAL LEDGER
1-2100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Equipment Accum Dep GENERAL LEDGER
1-2110
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Accounts Payable GENERAL LEDGER
2-1100
Balance
Date Description Ref. Debit Credit
Debit Credit
Account Number:
Account: Expense Payable GENERAL LEDGER
2-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Tax Payable (21) GENERAL LEDGER
2-1300
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Tax Payable (22) GENERAL LEDGER
2-1400
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Tax Payable (23) GENERAL LEDGER
2-1500
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Tax Payable (25/29) GENERAL LEDGER
2-1600
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: PPN Payable GENERAL LEDGER
2-1700
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: PPN Outcome GENERAL LEDGER
2-1800
Balance
Date Description Ref. Debit Credit
Debit Credit
Account Number:
Account: Bank Mandiri Loan GENERAL LEDGER
2-2100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Deva Capital GENERAL LEDGER
3-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Deva Drawing GENERAL LEDGER
3-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Summary GENERAL LEDGER
3-1300
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Sales GENERAL LEDGER
4-1100
Balance
Date Description Ref. Debit Credit
Debit Credit
Account Number:
Account: Sales Return GENERAL LEDGER
4-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Sales Discount GENERAL LEDGER
4-1300
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Freight Collected GENERAL LEDGER
4-1400
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Cost of goods Sold GENERAL LEDGER
5-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Freight Paid GENERAL LEDGER
5-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Advertising Expenses GENERAL LEDGER
6-1000
Balance
Date Description Ref. Debit Credit
Debit Credit
Account Number:
Account: Telephone, Internet & Electricity exp GENERAL LEDGER
6-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Office Supplies Expenses GENERAL LEDGER
6-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Bad Debt Expense GENERAL LEDGER
6-1300
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Depreciation Expense GENERAL LEDGER
6-1400
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Insurance Expense GENERAL LEDGER
6-1500
Balance
Date Description Ref. Debit Credit
Debit Credit
Account Number:
Account: Rent Expense GENERAL LEDGER
6-1600
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Wages & Salaries Expense GENERAL LEDGER
6-1700
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Maintenance expense GENERAL LEDGER
6-1800
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Other Operating Expense GENERAL LEDGER
6-1900
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Interest Revenue GENERAL LEDGER
8-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Interest Expense GENERAL LEDGER
9-1100
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Bank Service Charge GENERAL LEDGER
9-1200
Balance
Date Description Ref. Debit Credit
Debit Credit

Account Number:
Account: Income Tax Expense GENERAL LEDGER
9-1300
Balance
Date Description Ref. Debit Credit
Debit Credit
UD. SEJUK INDONESIA
TRIAL BALANCE, PER 31 DESEMBER 2024

ACCOUN
ACCOUNT NAME DEBET CREDIT
T NO
1-1100 Cash in Bank
1-1200 Petty Cash
1-1300 Accounts Receivable
1-1400 Allowance for Doubtful Debt
1-1500 Merchandise Inventory
1-1600 Office Supplies
1-1700 Prepaid Insurance
1-1800 Prepaid Rent
1-1900 PPN Income
1-2100 Equipment at Cost
1-2110 Equipment Accum Dep
2-1100 Accounts Payable
2-1200 Expense Payable
2-1300 Income Tax Payable (21)
2-1400 Income Tax Payable (22)
2-1500 Income Tax Payable (23)
2-1600 Income Tax Payable (25/29)
2-1700 PPN Payable
2-1800 PPN Outcome
2-2100 Bank Mandiri Loan
3-1100 Deva Capital
3-1200 Deva Drawing
3-1300 Income Summary
4-1100 Sales
4-1200 Sales Return
4-1300 Sales Discount
4-1400 Freight Collected
5-1100 Cost of goods Sold
5-1200 Freight Paid
6-1000 Advertising Expenses
6-1100 Telephone, Internet & Electricity exp
6-1200 Office Supplies Expenses
6-1300 Bad Debt Expense
6-1400 Depreciation Expense
6-1500 Insurance Expense
6-1600 Rent Expense
6-1700 Wages & Salaries Expense
6-1800 Maintenance expense
6-1900 Other Operating Expense
8-1100 Interest Revenue
9-1100 Interest Expense
9-1200 Bank Service Charge
9-1300 Income Tax Expense
TOTAL
UD. SEJUK INDONESIA
ADJUSMENT ENTRIES
DECEMBER 2024

TGL NAMA AKUN REF DEBET CREDIT


2022
Des

TOTAL - -
UD. SEJUK IND
WORKSHE
December 2

Trial Balance Adjustment


Acc. No. ACCOUNT NAME
DEBIT CREDIT DEBIT
1-1100 Cash in Bank
1-1200 Petty Cash
1-1300 Accounts Receivable
1-1400 Allowance for Doubtful Debt
1-1500 Merchandise Inventory
1-1600 Office Supplies
1-1700 Prepaid Insurance
1-1800 Prepaid Rent
1-1900 PPN Income
1-2100 Equipment at Cost
1-2110 Equipment Accum Dep
2-1100 Accounts Payable
2-1200 Expense Payable
2-1300 Income Tax Payable (21)
2-1400 Income Tax Payable (22)
2-1500 Income Tax Payable (23)
2-1600 Income Tax Payable (25/29)
2-1700 PPN Payable
2-1800 PPN Outcome
2-2100 Bank Mandiri Loan
3-1100 Deva Capital
3-1200 Deva Drawing
3-1300 Income Summary
4-1100 Sales
4-1200 Sales Return
4-1300 Sales Discount
4-1400 Freight Collected
5-1100 Cost of goods Sold
5-1200 Freight Paid
6-1000 Advertising Expenses
6-1100 Telephone, Internet & Electricity
exp
6-1200 Office Supplies Expenses
6-1300 Bad Debt Expense
6-1400 Depreciation Expense
6-1500 Insurance Expense
6-1600 Rent Expense
6-1700 Wages & Salaries Expense
6-1800 Maintenance expense
6-1900 Other Operating Expense
8-1100 Interest Revenue
9-1100 Interest Expense
9-1200 Bank Service Charge
9-1300 Income Tax Expense
TOTAL - -
UD. SEJUK INDONESIA
WORKSHEET
December 2024

Adjustment Adjusted Trial Balance Income Summary Balance Sheet


CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT
-
- - -
-

-
Balance Sheet
CREDIT

- -

-
-
-
UD. SEJUK INDONESIA
INCOME STATEMENT
For The Year Ended, December, 31, 2024
UD. SEJUK INDONESIA
STATEMENTS OF CHANGES IN EQUITY
PER 31 DECEMBER 2024
UD. SEJUK INDONESIA
BALANCE SHEET
PER 31 DESEMBER 2024
D. SEJUK INDONESIA
BALANCE SHEET
ER 31 DESEMBER 2024
UD SEJUK INDONESIA
CASH FLOW STATEMENTS
DECEMBER 31, 2024
(In Rupiah)
Rp -
UD. SEJUK INDONESIA
CLOSING JOURNAL
PER 31 DESEMBER 2024

DATE DESCRIPTION REFF DEBIT


CREDIT
UD. SEJUK INDONESIA
POST CLOSING TRIAL BALANCE
PER 31 DESEMBER 2024

ACCOUNT DEBIT CREDIT


ACCOUNT NAME
NUMBER Rp Rp
1-1100 Cash in Bank
1-1200 Petty Cash
1-1300 Accounts Receivable
1-1400 Allowance for Doubtful Debt
1-1500 Merchandise Inventory
1-1600 Office Supplies
1-1700 Prepaid Insurance
1-1800 Prepaid Rent
1-1900 PPN Income
1-2100 Equipment at Cost
1-2110 Equipment Accum Dep
2-1100 Accounts Payable
2-1200 Expense Payable
2-1300 Income Tax Payable (21)
2-1400 Income Tax Payable (22)
2-1500 Income Tax Payable (23)
2-1600 Income Tax Payable (25/29)
2-1700 PPN Payable
2-1800 PPN Outcome
2-2100 Bank Mandiri Loan
3-1100 Deva Capital

Amount ........................

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