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Davao - Eagle - Com JOSEPH

The document contains financial statements for Davao Eagle Commercial for the month of January 20B including an income statement, balance sheet, statement of changes in owner's equity, and statement of cash flows. The income statement shows net sales of PHP 1,357,100 and a gross profit of PHP 1,164,800. The balance sheet lists total assets of PHP 3,848,722.17 including current assets of PHP 3,515,805.50 and total liabilities of PHP 1,183,882.12. The statement of cash flows indicates a net cash increase of PHP 573,394.50 bringing the ending cash balance to PHP 1,525,844.50.

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0% found this document useful (0 votes)
644 views6 pages

Davao - Eagle - Com JOSEPH

The document contains financial statements for Davao Eagle Commercial for the month of January 20B including an income statement, balance sheet, statement of changes in owner's equity, and statement of cash flows. The income statement shows net sales of PHP 1,357,100 and a gross profit of PHP 1,164,800. The balance sheet lists total assets of PHP 3,848,722.17 including current assets of PHP 3,515,805.50 and total liabilities of PHP 1,183,882.12. The statement of cash flows indicates a net cash increase of PHP 573,394.50 bringing the ending cash balance to PHP 1,525,844.50.

Uploaded by

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We take content rights seriously. If you suspect this is your content, claim it here.
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JOSEPH CABUENOS BSA-I MWF 3:00-4:00 PM

Davao Eagle Commercial

Income Statement

For the month ended 31 January 20B

Revenue:

Sales Php. 1,378,600.00

Less: Sales Return 5,000.00

Sales Discount 16,500.00 21,500.00

Net sales Php. 1,357,100

Cost of Goods Solds

Merchandise Inventory Php. 950,600.00

Jan. 01 20b

Purchase 998,000.00

Less : Purchase Return 7,000.00


and allowances

Purchase Discounts 1,575.00 8,575.00

Net Purchase 989,425.00

Add:Freight In 2,045.00

Goods Available For sale 1,942,070.00

Less: Merchandize 777,270.00


Inventory Ending

Gross Profit Php 1,164,800.00


Operating Expense

Uncollectible account Php. 11,499.00


Expense

Depreciation Expense 7,083.33

Taxes and Licences 4,600.00

Bank charge 1,000.00

Freight out 425.00

Retainer Fee 3,000.00

Insurance expense 750.00

Utilities expense 1,400.00

Store supplies expense 5,000.00

SSS Contribution 2019.00

Pag-ibig Contribution 300.00

Philhealtg contribution 337.50

Salaries expense 27,000

Postage and Telephone 1,215.55

Transportation expenses 192.00 (65,822.18)

Profit for the month Php. 126,477.82

Davao Eagle Commercial

Balance Sheet
As of January 31, 20B

Assets

Current Assets:

Cash in bank Php. 1,525,844.50

Petty cash 1,000.00

Accounts Receivable 1,212,512

Estimat Uncollectible 13,571 1,198,941.00


accounts

Advances to employees 14,500.00

Merchandize Inventory 777,270.00

Prepaid insurance 5,250.00

Unused store supplies 3,000.00

Total Current Assets Php.3,515,805.50

Property and equipment

Store Furniture and 425,000.00


Equipment

Accumulated Depreciation 92,083.33

Total Property and Php. 332,916.67


Equipment

Total Assets Php. 3,848,722.17

Liabilities and Owner's


Equity
Current Liabilities

Accounts Payable Php. 1,124,090.00

Accrued Retainer Fee 2,700.00

Accrued taxes and licenses 4,600.00

Accrued Postage and 1,215.55


Telephone

Accrued Utilities Expense 1,400.80

SSS Premium Payable 3,000.00

Pag-ibig Premium Payable 600

Phillhealth Premium Payable 675.00

Withholding Tax Payable 1,978.77

Vat Payable 4,121.00

Total liabilities Php. 1,183,882.12

Owner's Equity

Diane, L. Gutierrez, Capital Php. 2,538,362.00

Add:Profit for the month 12,6477.82

Total Owner's Equity 2,664,40.05

Total liabilities & Owners Php. 3,848,722.17


Equity

Davao Eagle Commercial

Statement of Changes in Owner's Equity

For the month ended 31 January 20B

Diane L. Gutierrez, Owner's Equity- January 1 Php. 2,538,362.23


Add: Profit for the months 126,477.72

Total: Php. 2,664,840.05

Less: Owner's Withdrawal 0

Diane L. Gutierez, Owner's Equity Php. 2,644,840.05

Davao Eagle Commercial

Statement of Cash flow

For the month of January


Beginning balance:Php. 952,450.00

Cash flow from operating activities Php. 971, 600

(236,236)

Collection from customers (21,710.73)

Payment to supplier (21,701.73)

Freight in (195.00)

Freight out (425.00)

Transportation (192.00)

Utilities (121.00)

SSS Premium Remittance (3,000.00)

Philhealth premium (3,000.00)

Pag-ibig premium (600.00)

Payment for Withholding (1,179.77)

Payment of Value Added Tax (32,920.00)

Bank Charge (1,000.00)

Net cash provided for operating 573,394.50


activities

Net cash provided for Investing 0


activities

Net cash Provided for Financing 0


activities

Net Cash Increase 573,394.50

Add: Beginning Cash Balance month 952,450

Net Cash ending Balance Php. 1,525,844.50

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