LKS Tegal Kunci
LKS Tegal Kunci
LKS Tegal Kunci
NERACA SALDO
REKAP JURNAL
BUKU BESAR
WORKSHEET
CHANGE EQUITY
BUKTI TRANSAKSI
1.5 MEMO KARTU ASET TETAPCLOSSING BALANCE
PT Terus JAYA MEN
Trial Balance November,30, 2014 and Balance Sheet December, 31, 2013
1 Cash In Bank
Merupakan saldo rekening perusahaan di bank BCA Cabang Semarang per 30 Nopember 2014.
MENU
3 Accounts Receivable
Merupakan saldo Piutang Dagang per 30 Nopember 2014, dengan rincian sebagai berikut:
No Nama Debitur Jumlah Piutang Termin Tanggal
1 Toko Abadi Semarang 55,110,000 2/10; n/30 November 28, 2014
2 Toko Sejahtera Kendal 83,767,200 2/10; n/30 October 20, 2014
3 CV Bunyamin Purwokerto 20,000,000 2/10; n/30 14 Pebruari, 2014
Jumlah Piutang 158,877,200
4 Employee Receivable
Merupakan saldo piutang kepada karyawan perusahaan per 30 Nopember 2014, dengan rincian sbb:
1 Fabian 2,500,000
2 Faizi 3,500,000
Jumlah 6,000,000
5 Merchandise Inventory
Merupakan saldo persediaan barang dagangan per 30 Nopember 2014, dengan rincian sebagai berikut:
No. Item Kuantitas Kuantitas Harga/ Unit Jumlah
a TV Samsung 21" 60 Rp 1,500,000 Rp 90,000,000
b TV LG 32" 50 Rp 2,700,000 Rp 135,000,000
Jumlah Rp 225,000,000
6 VAT - In
Merupakan PPN Masukan atas pembelian barang dagangan selama bulan Nopember 2014.
7 Prepaid Rent
Merupakan saldo sewa bangunan dengan rincian sebagai berikut:
Sewa Januari - April 2014 32,000,000
Sewa Mei 2014 - April 2015 108,000,000
Jumlah saldo sewa dibayar di muka 140,000,000
8 Investment
Investasi Saham PT SYAILENDRA PERKASA 40.000 lembar @ Rp5.000 dibeli tahun 2013 sebesar Rp 210,000,000
Kurs 105% dan kepemilikan sebesar 10%.
9 Accounts Payable
No Nama Kreditur Pembelian Biaya Kirim PPN BM 10% PPN 10% Jumlah Tgl & Termin
1 PT Universe Elektonik 44,000,000 1,000,000 4,400,000 4,400,000 53,800,000 3/10;n/30 Tgl 29/11/14
10 VAT - Out
Merupakan PPN Keluaran atas penjualan barang dagangan selama bulan Nopember 2014.
5010000
55110000
76000000
152000
7615200
83767200
Rp 111,650,000 114,780,000
Rp 118,886,000 #REF!
Rp 50,000,000
Rp 48,466,000 Rp -
Rp 1,534,000 Rp 26,000
Rp 312,000 2010 Rp 1,222,000 12
Rp 312,000 2011 Rp 910,000 12
Rp 312,000 2012 Rp 598,000 12
Rp 312,000 2013 Rp 286,000 12
Rp 286,000 2014 Rp - 11
Rp 1,534,000 59
156,000
130,000
BKK No. : 1/BKK/XII/2014
Tanggal : 01 Desember 2014
Keterangan : Pelunasan utang obligasi berbunga 12% yang jatuh tempo per hari ini
Bunga obligasi dibayarkan tiap tanggal 1 Juli dan 1 Desember
Rp 53,000,000.00
Fabian Falisha
(Fabian ) (Falisha)
Jumlah Dibayar : #Lima puluh dua juta empat ratus delapan puluh ribu
rupiah#
Keterangan : Pelunasan utang kepada PT Universe Elektronik atas transaksi tanggal
29 Nopember 2014., termin 3/10, n/30
Utang Rp 53,800,000.00
Potongan Rp (1,320,000)
Rp 52,480,000.00
Fabian Falisha
(Fabian) (Falisha)
Rp 54,110,000.00
Fabian Falisha
(Fabian) (Falisha)
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 20 unit Rp 1,900,000.00 Rp 38,000,000.00
2 TV LG 32" 10 unit Rp 3,500,000.00 Rp 35,000,000.00
Total Penjualan Rp 73,000,000.00
Asuransi 0,2% Rp 146,000.00
Bagian Pemasaran Bagian Keuangan Jasa Service Rp 500,000.00
PPN 10% Rp 7,364,600.00
Piutang Dagang Rp 81,010,600.00 ###
Faizi Fabian
(Faizi) (Fabian)
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000075
PT UNIVERSE ELEKRONIK
Jalan Pangeran Mangkubumi No 8 Yogyakarta No. Faktur : 12/AY/XII/2014
Tanggal : 05 Desember 2014
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 65 unit Rp 1,600,000.00 Rp 104,000,000.00
2 TV LG 32" 10 unit Rp 2,800,000.00 Rp 28,000,000.00
Total Penjualan Rp 132,000,000.00
Bagian Pemasaran Bagian Keuangan Biaya Pengiriman Rp 500,000.00
PPN BM Rp 13,200,000.00
Nakula Sadewa PPN 10%
Piutang Dagang Rp
Rp 13,200,000.00
158,900,000.00
(Nakula) (Sadewa)
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000012
Rafasya Fabian
(Putra Rafasya) (Fabian)
Jumlah Dibayar : #Sembilan belas juta sembilan ratus lima puluh ribu
rupiah#
Keterangan : Pembayaran Pajak Masa Nopember 2014, dengan rincian sbb:
PPh Final Bulan Nopember Rp 4,500,000
PPH Pasal 21 Rp 5,200,000
PPN Keluaran Rp 28,600,000
PPN Masukan Rp (18,350,000)
Rp 19,950,000
Fabian Falisha
(Fabian) (Falisha)
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 20 unit Rp 1,900,000.00 Rp 38,000,000.00
2 TV LG 32" 20 unit Rp 3,500,000.00 Rp 70,000,000.00
Total Penjualan Rp 108,000,000.00
Asuransi 0,2% Rp 216,000.00
Bagian Pemasaran Bagian Keuangan PPN 10% Rp 10,821,600.00
Piutang Dagang Rp 119,037,600.00
Faizi Fabian
(Faizi) (Fabian)
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000076
Jumlah Dibayar : #Dua Juta delapan ratus empat puluh ribu rupiah#
Rp 2,840,000
Fabian Falisha
(Fabian) (Falisha)
Rp 84,604,872
Fabian Falisha
(Fabian) (Falisha)
BKK No. : 5/BKK/XII/2014
Tanggal : 12 Desember 2014
Rp 145,580,000
Fabian Falisha
(Fabian) (Falisha)
Rp 3,500,000
Fabian Falisha
(Fabian) (Falisha)
PT Universe Elektronik
Jalan Pangeran Mangkubumi No 8 Yogyakarta No. Faktur : 19/AY/XII/2014
Tanggal : 16 Desember 2014
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 20 unit Rp 1,700,000.00 Rp 34,000,000.00
2 TV LG 32" 30 unit Rp 2,900,000.00 Rp 87,000,000.00
Total Penjualan Rp 121,000,000.00
Bagian Pemasaran Bagian Keuangan, Biaya Pengiriman Rp 500,000.00
PPN BM Rp 12,100,000.00
PPN 10% Rp 12,100,000.00
(Nakula) (Sadewa) Piutang Dagang Rp 145,700,000.00
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000019
Rp 54,001,200
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000077
Fabian Falisha
(Fabian) (Falisha)
Fabian Falisha
(Fabian) (Falisha)
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 25 unit Rp 2,100,000.00 Rp 52,500,000.00
2 TV LG 32" 30 unit Rp 3,700,000.00 Rp 111,000,000.00
Total Penjualan Rp 163,500,000.00
Bagian Pemasaran Bagian Keuangan, Asuransi 0,2% Rp 327,000.00
PPN 10% Rp 16,382,700.00
Faizi Fabian Piutang Dagang Rp 180,209,700.00
(Faizi) (Fabian)
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000078
Rp 116,877,600
Fabian Falisha
(Fabian) (Falisha)
BKK No. : 7/BKK/XII/2014
Tanggal : 25 Desember 2014
Rp 74,800,000
Fabian Falisha
(Fabian) (Falisha)
###
###
Bagian Keuangan Bagian Kasir ###
###
Fabian Falisha
(Fabian) (Falisha) ###
Keterangan : Pengisian Kembali Dana Kas Kecil bulan Desember 2014 dengan rincian:
Pembelian Pulsa Listrik Rp 900,000
Pembayaran Telepon dan Air Minum bulan Nopember Rp 900,000
Pemasangan Iklan Semarang Metro Rp 800,000
Perjalanan Dinas Salesmen Rp 900,000
Rp 3,500,000
Fabian Falisha
(Fabian) (Falisha)
Rp 25,500,000
Fabian Falisha
(Fabian) (Falisha)
Fabian Falisha
(Fabian) (Falisha)
BKM No. : 8/BKM/XII/2014
Tanggal : 30 Desember 2014
Rp 2,500,000
Fabian Falisha
(Fabian) (Falisha)
Rp 4,000,000
Fabian Falisha
(Fabian) (Falisha)
FAKTUR PENJUALAN
No. Nama Barang Jumlah Satuan Harga Satuan Total Harga
1 TV Samsung 21" 30 unit Rp 2,100,000.00 Rp 63,000,000.00
2 TV LG 32" 15 unit Rp 3,700,000.00 Rp 55,500,000.00
Total Penjualan Rp 118,500,000.00
Asuransi 0,2% Rp 237,000.00
Bagian Pemasaran Bagian Keuangan, Jasa Servis Rp 600,000.00
PPN 10% Rp 11,933,700.00
Faizi Fabian Piutang Dagang Rp 131,270,700.00
(Faizi) (Fabian)
Catatan: Faktur Penjualan ini diasumsikan sudah dilampiri dengan Faktur pajak
No. 010.000-09.00000078
Rp 97,783,300 ###
Fabian Falisha
(Fabian) (Falisha)
Keterangan : Penerimaan kembali piutang yang telah dihapus tanggal 1 Desember 2014
sebesar 50% dari saldo piutang yang dihapus
Rp 10,000,000
Rp 10,000,000
Fabian Falisha
(Fabian) (Falisha)
Rafasya Fabian
(Putra Rafasya) (Fabian)
HP Baru
Kas
HPasar Lama
NB Lama
Kas
HP Baru
L/R
L/R
# Dua puluh Tujuh rupiah#
PT Terus JAYA
DAFTAR ASET TETAP
TAHUN 2014
Total 1,114,000,000 586,625,000 154,000,000 1,546,625,000 289,375,000 67,375,000 133,000,000 355,000,000 1,191,625,000
MENU
PT Terus JAYA
Cash Receipt Journal
MENU
December 2014 Page :
DEBIT CREDIT
DATE DOC. NO. ACCOUNT CREDITED OTHER OTHER
SALES DISCOUNT CASH IN BANK Account Receivable ACCT
ACCT NO. Account Title AMOUNT AMOUNT
NO.
41001 11101 11103
2 1/BKM/XII/2014 Toko Abadi, Semarang Rp 1,000,000 Rp 54,110,000 Rp 55,110,000
11 2/BKM/XII/2014 Toko Sejahtera Kendal Rp 84,604,872 Rp 83,767,200
Late Fees Collected 81005 Rp 837,672
13 3/BKM/XII/2014 Employee Receivable Rp 3,500,000 11105 Rp 3,500,000
17 4/BKM/XII/2014 Sales Rp 54,001,200 51000 Cost of sales Rp 42,095,800 41000 Rp 46,000,000
Sales Service 42100 Rp 3,000,000
Value Added Taxes - Out 21103 Rp 4,909,200
Merchandise Inventory 11106 Rp 42,095,800
Insurance Payable 21105 Rp 92,000
18 5/BKM/XII/2014 Toko Abadi Semarang Rp 2,160,000 Rp 116,877,600 Rp 119,037,600
28 6/BKM/XII/2014 Devidend Revenue Rp 25,500,000 11109 Prepaid Income Taxes Rp 4,500,000 81002 Rp 30,000,000
30 7/BKM/XII/2014 Marketable Equity Securities (MES) Rp 89,010,900 91002 Company Income Tax Rp 89,100 11102 Rp 78,750,000
Dibuat oleh
Direview oleh
PT Terus JAYA
Sales Journal
December 2014 Page :
DEBIT CREDIT
DATE DOC. NO. Customer's
ACCOUNTS INSURANCE
COST OF SALES SALES SALES SERVICE VAT - OUT INVENTORY
RECEIVABLE PAYABLE
4 75/FJ/XII/2014 Toko Putra Jaya Blora Rp 81,010,600 Rp 57,000,000 Rp 73,000,000 Rp 500,000 Rp 7,364,600 Rp 146,000 Rp 57,000,000
10 76/FJ/XII/2014 Toko Abadi Semarang Rp 119,037,600 Rp 88,640,000 Rp 108,000,000 Rp 10,821,600 Rp 216,000 Rp 88,640,000
18 77/FJ/XII/2014 Toko Sejahtera Kendal Rp 180,209,700 Rp 131,960,000 Rp 163,500,000 Rp 16,382,700 Rp 327,000 Rp 131,960,000
31 78/FJ/XII/2014 Toko Abadi Semarang Rp 131,270,700 Rp 95,709,000 Rp 118,500,000 Rp 600,000 Rp 11,933,700 Rp 237,000 Rp 95,709,000
Rp 884,837,600 Rp 884,837,600
Tanggan dan
Nama
paraf
Dibuat oleh
Direview oleh
MENU
Rp -
Rp -
Rp -
Rp -
PT Terus JAYA
Purchase Journal
December 2014
DEBIT
MENU
DATE DOC. NO. VENDOR'S Merchandise Value Added Taxes
Freigt Paid Account Payable
Inventory - In
Rp 304,600,000 Rp 304,600,000
Direview oleh
PT Terus JAYA
Memorial Journal
December 2014 Page :
129,164,200 129,164,200
-
-
DEBIT CREDIT
Docoument OTHER OTHER
DATE ACCOUNT DEBITED
Number ACCOUNTS PAYABLE CASH IN BANK
Acc No Acc No Acct Name
AMOUNT AMOUNT
21100 Rp 11,101
1 Interest Expense 1/BKK/XII/2014 82002 3,286,000 Rp 53,000,000 22103 Discount on Bond Rp 286,000
Bond Payable 22102 50,000,000
2 PT Universe Elektronik 2/BKK/XII/2014 Rp 53,800,000 Rp 52,480,000 51001 Purchase Discount Rp 1,320,000
8 Company Income Tax 3/BKK/XII/2014 91002 Rp 4,500,000 Rp 19,950,000 11108 Value Added Taxes - In Rp 18,350,000
Income Tax Payable 21104 Rp 5,200,000
Value Added Taxes - Out 21103 Rp 28,600,000
11 Office Supplies 4/BKK/XII/2014 11107 Rp 2,840,000 Rp 2,840,000
12 PT Universe Elektronik 5/BKK/XII/2014 Rp 149,300,000 Rp 145,580,000 51001 Purchase Discount Rp 3,720,000
17 BCA Loan - Long Term maturity 6/BKK/XII/2014 21107 Rp 23,550,000 Rp 25,000,000
Interest Expense 82002 Rp 1,450,000
25 Wages & Salaries Expense (Sales) 7/BKK/XII/2014 61100 Rp 60,000,000 Rp 74,800,000 21104 Income Tax Payable Rp 5,200,000
Wages & Salaries Expense (Administrative) 62100 Rp 20,000,000
26 Depreciation Expense - Vehicles 8/BKK/XII/2014 61300 Rp 19,250,000 Rp 150,000,000 13102 Accumulated Depreciation - Vehicles Rp 19,250,000
Vehicles 13101 Rp 236,625,000 13101 Vehicles Rp 154,000,000
Accumulated Depreciation - Vehicles 13102 Rp 67,375,000
26 Electricity Expense 9/BKK/XII/2014 62200 Rp 900,000 Rp 3,500,000
Water & Telephone Expense 62300 Rp 900,000
Advertising Expense 61400 Rp 800,000
Transportation Expense 62700 Rp 900,000
30 Employee Receivable 10/BKK/XII/2014 11105 Rp 4,000,000 Rp 4,000,000
CUSTOMER'S NAME:
CUSTOMER ACCOUNT NO. 1-1103-01
Toko Putra Jaya Blora
BALANCE
DATE DESCRIPTION REF DEBIT CREDIT
DEBIT CREDIT
Dec 1 Balance a -
4 75/FJ/XII/2014 Rp 81,010,600 Rp 81,010,600 Rp -
- -
- -
- -
- -
CUSTOMER'S NAME:
Toko Abadi Semarang
CUSTOMER ACCOUNT NO. 1-1103-02
BALANCE
DATE DESCRIPTION REF DEBIT CREDIT
DEBIT CREDIT
Dec 1 Balance a Rp 55,110,000
2 1/BKM/XII/2014 Rp 55,110,000 Rp - -
10 76/FJ/XII/2014 Rp 119,037,600 Rp 119,037,600 -
18 5/BKM/XII/2014 Rp 119,037,600 Rp - -
31 78/FJ/XII/2014 Rp 131,270,700 Rp 131,270,700 -
CUSTOMER'S NAME:
Toko Sejahtera Kendal
CUSTOMER ACCOUNT NO. 1-1103-03
BALANCE
DATE DESCRIPTION REF DEBIT CREDIT
DEBIT CREDIT
Dec 1 a Rp 83,767,200
11 2/BKM/XII/2014 Rp 83,767,200 Rp -
18 77/FJ/XII/2014 Rp 180,209,700 Rp 180,209,700 Rp -
19 1/BM/I/2015 Rp 23,146,200 Rp 157,063,500 -
Rp 511,528,600
Rp 369,344,800
###
MENU
PT Terus JAYA
ACCOUNT PAYABLE SUBSDIARY
DECEMBER 2014
VENDOR'S NAME
PT UNIVERSE ELEKTRON VENDOR ACCOUNT NO. 2-1100-01
BALANCE
DATE DESCRIPTION REF DEBIT CREDIT
DEBIT CREDIT
2 2/BKK/XII/2014 Rp 53,800,000 Rp -
12 5/BKK/XII/2014 Rp 149,300,000 Rp -
39
PT Terus JAYA MENU
INVENTORY CARD
December 2014
ITEM : TV LG 32"
IN OUT BALANCE
DATE DOC. NO. DESCRIPTION
UNIT PRICE AMOUNT UNIT PRICE AMOUNT UNIT PRICE AMOUNT
4
Rp 49,265,200 Rp 49,265,200
Rp 11,932,000 Rp 14,915,000
Rp 61,197,200 Rp 64,180,200
PT Terus JAYA MENU
INVENTORY CARD
December 2014
61,197,200 64,180,200
Rp - Rp -
64,180,200
PT Terus JAYA
RECAPITULATION JOURNAL
SALES JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
11103 511,528,600 41000 463,000,000
51000 373,309,000 21103 46,502,600
11106 373,309,000
21105 926,000
42100 1,100,000
884,837,600 884,837,600
-
CASH RECEIPT JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
11101 440,104,572 21101 -
41001 3,160,000 11103 257,914,800
51000 42,095,800 21103 4,909,200
11109 4,500,000 81005 837,672
91002 89,100 11105 6,000,000
41000 46,000,000
11106 42,095,800
42100 3,000,000
11104 10,000,000
81002 30,000,000
81003 10,350,000
11102 78,750,000
21105 92,000
489,949,472 489,949,472
-
PURCHASES JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
11106 278,300,000 21100 304,600,000
11108 25,300,000
51002 1,000,000
304,600,000 304,600,000
-
CASH PAYMENT JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
21100 203,100,000 11101 628,933,300
11107 2,840,000 51001 5,040,000
91002 4,500,000 11108 18,350,000
13101 236,625,000 13101 154,000,000
13102 67,375,000 21104 5,200,000
21104 5,200,000 22103 286,000
22102 50,000,000 13102 19,250,000
21103 28,600,000
21105 97,783,300
21107 23,550,000
61100 60,000,000
61300 19,250,000
61400 800,000
62100 20,000,000
62200 900,000
62300 900,000
62700 900,000
82002 4,736,000
11105 4,000,000
831,059,300 831,059,300
-
MEMORIAL JOURNAL RECAPITULATION
DEBIT CREDIT
ACCOUNT NO. AMOUNT ACCOUNT NO. AMOUNT
21100 9,600,000 11106 23,715,000
11104 20,000,000 11108 800,000
61400 14,915,000 11103 20,000,000
-
44,515,000 44,515,000
-
MENU
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Petty Cash GENERAL LEDGER
11100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 10,000,000
31 JNK - - 10,000,000 -
31 JPK - - 10,000,000 -
31 JPn - - 10,000,000 -
31 JPB - - 10,000,000 -
11100 31 JM - - 10,000,000 -
Account Number:
Account: Cash In Bank GENERAL LEDGER 11101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 410,807,600
31 JNK 440,104,572 - 850,912,172 -
31 JPK - 628,933,300 221,978,872 -
31 JPn - - 221,978,872 -
31 JPB - - 221,978,872 -
11101 31 JM - - 221,978,872 -
Account Number:
Account: Marketable Equity Securities (MES) GENERAL LEDGER 11102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 105,000,000
31 JPn - - 105,000,000 -
31 JM - - 105,000,000 -
31 JNK - 78,750,000 26,250,000 -
31 JPK - - 26,250,000 -
11102 31 JPB - - 26,250,000 -
Account Number:
Account: Account Receivable GENERAL LEDGER 11103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 158,877,200
31 JNK - 257,914,800 - 99,037,600
31 JPK - - - 99,037,600
31 JPn 511,528,600 - 412,491,000 -
31 JPB - - 412,491,000 -
11103 31 JM - 20,000,000 392,491,000 -
Account Number:
Account: Allowances for Bad Debts GENERAL LEDGER 11104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 14,375,000
31 JPB - - - 14,375,000
31 JM 20,000,000 - 5,625,000 -
31 JNK - 10,000,000 - 4,375,000
31 JPK - - - 4,375,000
11104 31 JPn - - - 4,375,000
Account Number:
Account: Employee Receivable GENERAL LEDGER
PT Terus JAYA
GENERAL LEDGER
Account: Employee Receivable GENERAL LEDGER 11105
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 6,000,000
31 JNK - 6,000,000 - -
31 JPK 4,000,000 - 4,000,000 -
31 JPn - - 4,000,000 -
31 JPB - - 4,000,000 -
11105 31 JM - - 4,000,000 -
Account Number:
Account: Merchandise Inventory GENERAL LEDGER 11106
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 225,000,000
31 JNK - 42,095,800 182,904,200 -
31 JPK - - 182,904,200 -
31 JPn - 373,309,000 - 190,404,800
31 JPB 278,300,000 - 87,895,200 -
11106 31 JM - 23,715,000 64,180,200 -
Account Number:
Account: Office Supplies GENERAL LEDGER 11107
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 40,000,000
31 JNK - - 40,000,000 -
31 JPK 2,840,000 - 42,840,000 -
31 JPn - - 42,840,000 -
31 JPB - - 42,840,000 -
11107 31 JM - - 42,840,000 -
Account Number:
Account: Value Added Taxes - In GENERAL LEDGER 11108
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 18,350,000
31 JNK - - 18,350,000 -
31 JPK - 18,350,000 - -
31 JPn - - - -
31 JPB 25,300,000 - 25,300,000 -
11108 31 JM - 800,000 24,500,000 -
Account Number:
Account: Prepaid Income Taxes GENERAL LEDGER 11109
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK 4,500,000 - 4,500,000 -
31 JPK - - 4,500,000 -
31 JPn - - 4,500,000 -
31 JPB - - 4,500,000 -
11109 31 JM - - 4,500,000 -
Account Number:
Account: Prepaid Rent GENERAL LEDGER 11110
PT Terus JAYA
GENERAL LEDGER
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 45,000,000
31 JNK - - 45,000,000 -
31 JPK - - 45,000,000 -
31 JPn - - 45,000,000 -
31 JPB - - 45,000,000 -
11110 31 JM - - 45,000,000 -
Account Number:
Account: Prepaid Expense GENERAL LEDGER 11111
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
11111 31 JM - - - -
Account Number:
Account: Investment GENERAL LEDGER 12100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 210,000,000
31 JNK - - 210,000,000 -
31 JPK - - 210,000,000 -
31 JPn - - 210,000,000 -
31 JPB - - 210,000,000 -
12100 31 JM - - 210,000,000 -
Account Number:
Account: Land GENERAL LEDGER 13100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 600,000,000
31 JNK - - 600,000,000 -
31 JPK - - 600,000,000 -
31 JPn - - 600,000,000 -
31 JPB - - 600,000,000 -
13100 31 JM - - 600,000,000 -
Account Number:
Account: Vehicles GENERAL LEDGER 13101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 514,000,000
31 JPB - - 514,000,000 -
31 JM - - 514,000,000 -
31 JNK - - 514,000,000 -
31 JPK 236,625,000 154,000,000 596,625,000 -
13101 31 JPn - - 596,625,000 -
Account Number:
Account: Accumulated Depreciation - Vehicles GENERAL LEDGER 13102
Balance
Date Description Ref. Debit Credit
PT Terus JAYA
GENERAL LEDGER
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 134,375,000
31 JPB - - - 134,375,000
31 JPK 67,375,000 19,250,000 - 86,250,000
31 JPn - - - 86,250,000
31 JNK - - - 86,250,000
13102 31 JM - - - 86,250,000
Account Number:
Account: Equipment GENERAL LEDGER 13103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 350,000,000
31 JNK - - 350,000,000 -
31 JPK - - 350,000,000 -
31 JPn - - 350,000,000 -
31 JPB - - 350,000,000 -
13103 31 JM - - 350,000,000 -
Account Number:
Account: Accumulated Depreciation - Equipment GENERAL LEDGER 13104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 155,000,000
31 JNK - - - 155,000,000
31 JPK - - - 155,000,000
31 JPn - - - 155,000,000
31 JPB - - - 155,000,000
13104 31 JM - - - 155,000,000
Account Number:
Account: Account Payable GENERAL LEDGER 21100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 53,800,000
31 JNK - - - 53,800,000
31 JPK 203,100,000 - 149,300,000 -
31 JPn - - 149,300,000 -
31 JPB - 304,600,000 - 155,300,000
21100 31 JM 9,600,000 - - 145,700,000
Account Number:
Account: Telephone & water Payable GENERAL LEDGER 21102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
21102 31 JM - - - -
Account Number:
Account: Value Added Taxes - Out GENERAL LEDGER 21103
Balance
Date Description Ref. Debit Credit Debit Credit
PT Terus JAYA
GENERAL LEDGER
Dec 1 Opening Balance 28,600,000
31 JNK - 4,909,200 - 33,509,200
31 JPK 28,600,000 - - 4,909,200
31 JPn - 46,502,600 - 51,411,800
31 JPB - - - 51,411,800
21103 31 JM - - - 51,411,800
Account Number:
Account: Income Tax Payable GENERAL LEDGER 21104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 5,200,000
31 JNK - - - 5,200,000
31 JPK 5,200,000 5,200,000 - 5,200,000
31 JPn - - - 5,200,000
31 JPB - - - 5,200,000
21104 31 JM - - - 5,200,000
Account Number:
Account: Insurance Payable GENERAL LEDGER 21105
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 97,783,300
31 JNK - 92,000 - 97,875,300
31 JPK 97,783,300 - - 92,000
31 JPn - 926,000 - 1,018,000
31 JPB - - - 1,018,000
21105 31 JM - - - 1,018,000
Account Number:
Account: Devidend Payable GENERAL LEDGER 21106
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
21106 31 JM - - - -
Account Number:
Account: BCA Loan - Long Term maturity GENERAL LEDGER 21107
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 23,550,000
31 JNK - - - 23,550,000
31 JPK 23,550,000 - - -
31 JPn - - - -
31 JPB - - - -
21107 31 JM - - - -
Account Number:
Account: BCA Loan - Long Term GENERAL LEDGER 22101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 175,925,000
PT Terus JAYA
GENERAL LEDGER
31 JNK - - - 175,925,000
31 JPK - - - 175,925,000
31 JPn - - - 175,925,000
31 JPB - - - 175,925,000
22101 31 JM - - - 175,925,000
Account Number:
Account: Bond Payable GENERAL LEDGER 22102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 50,000,000
31 JNK - - - 50,000,000
31 JPK 50,000,000 - - -
31 JPn - - - -
31 JPB - - - -
22102 31 JM - - - -
Account Number:
Account: Discount on Bond GENERAL LEDGER 22103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 286,000
31 JNK - - 286,000 -
31 JPK - 286,000 - -
31 JPn - - - -
31 JPB - - - -
22103 31 JM - - - -
Account Number:
Account: Cammond Stock GENERAL LEDGER 31001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 700,000,000.00
31 JNK - - - 700,000,000
31 JPK - - - 700,000,000
31 JPn - - - 700,000,000
31 JPB - - - 700,000,000
31001 31 JM - - - 700,000,000
Account Number:
Account: Additional Paid In capital GENERAL LEDGER 31002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 400,000,000
31 JNK - - - 400,000,000
31 JPK - - - 400,000,000
31 JPn - - - 400,000,000
31 JPB - - - 400,000,000
31002 31 JM - - - 400,000,000
Account Number:
Account: Retained Earning GENERAL LEDGER 31003
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 300,000,000
31 JNK - - - 300,000,000
PT Terus JAYA
GENERAL LEDGER
31 JPK - - - 300,000,000
31 JPn - - - 300,000,000
31 JPB - - - 300,000,000
31003 31 JM - - - 300,000,000
Account Number:
Account: Devidend GENERAL LEDGER 31004
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 80,000,000
31 JNK - - 80,000,000 -
31 JPK - - 80,000,000 -
31 JPn - - 80,000,000 -
31 JPB - - 80,000,000 -
31004 31 JM - - 80,000,000 -
Account Number:
Account: Income Summary GENERAL LEDGER 31005
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
31005 31 JM - - - -
Account Number:
Account: Sales GENERAL LEDGER 41000
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 4,889,165,000
31 JNK - 46,000,000 - 4,935,165,000
31 JPK - - - 4,935,165,000
31 JPn - 463,000,000 - 5,398,165,000
31 JPB - - - 5,398,165,000
41000 31 JM - - - 5,398,165,000
Account Number:
Account: Sales discount GENERAL LEDGER 41001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 33,365,000
31 JNK 3,160,000 - 36,525,000 -
31 JPK - - 36,525,000 -
31 JPn - - 36,525,000 -
31 JPB - - 36,525,000 -
41001 31 JM - - 36,525,000 -
Account Number:
Account: Sales Returns GENERAL LEDGER 41002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 50,000,000
31 JNK - - 50,000,000 -
31 JPK - - 50,000,000 -
31 JPn - - 50,000,000 -
PT Terus JAYA
GENERAL LEDGER
31 JPB - - 50,000,000 -
41002 31 JM - - 50,000,000 -
Account Number:
Account: Sales Service GENERAL LEDGER 42100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 732,000,000.00
31 JNK - 3,000,000 - 735,000,000
31 JPK - - - 735,000,000
31 JPn - 1,100,000 - 736,100,000
31 JPB - - - 736,100,000
42100 31 JM - - - 736,100,000
Account Number:
Account: Cost of sales GENERAL LEDGER 51000
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 4,167,465,000
31 JNK 42,095,800 - 4,209,560,800 -
31 JPK - - 4,209,560,800 -
31 JPn 373,309,000 - 4,582,869,800 -
31 JPB - - 4,582,869,800 -
51000 31 JM - - 4,582,869,800 -
Account Number:
Account: Purchase Discount GENERAL LEDGER 51001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 83,732,500.00
31 JNK - - - 83,732,500
31 JPK - 5,040,000 - 88,772,500
31 JPn - - - 88,772,500
31 JPB - - - 88,772,500
51001 31 JM - - - 88,772,500
Account Number:
Account: Freigt Paid GENERAL LEDGER 51002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 9,000,000
31 JNK - - 9,000,000 -
31 JPK - - 9,000,000 -
31 JPn - - 9,000,000 -
31 JPB 1,000,000 - 10,000,000 -
51002 31 JM - - 10,000,000 -
Account Number:
Account: Wages & Salaries Expense (Sales) GENERAL LEDGER 61100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 250,000,000
31 JNK - - 250,000,000 -
31 JPK 60,000,000 - 310,000,000 -
31 JPn - - 310,000,000 -
31 JPB - - 310,000,000 -
PT Terus JAYA
GENERAL LEDGER
61100 31 JM - - 310,000,000 -
Account Number:
Account: Bad Debts- expense GENERAL LEDGER 61200
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
61200 31 JM - - - -
Account Number:
Account: Depreciation Expense - Vehicles GENERAL LEDGER 61300
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK 19,250,000 - 19,250,000 -
31 JPn - - 19,250,000 -
31 JPB - - 19,250,000 -
61300 31 JM - - 19,250,000 -
Account Number:
Account: Advertising Expense GENERAL LEDGER 61400
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 12,935,000
31 JNK - - 12,935,000 -
31 JPK 800,000 - 13,735,000 -
31 JPn - - 13,735,000 -
31 JPB - - 13,735,000 -
61400 31 JM 14,915,000 - 28,650,000 -
Account Number:
Account: Rent Expense GENERAL LEDGER 61500
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 95,000,000
31 JNK - - 95,000,000 -
31 JPK - - 95,000,000 -
31 JPn - - 95,000,000 -
31 JPB - - 95,000,000 -
61500 31 JM - - 95,000,000 -
Account Number:
Account: Wages & Salaries Expense (Administrative) GENERAL LEDGER 62100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 125,000,000
31 JNK - - 125,000,000 -
31 JPK 20,000,000 - 145,000,000 -
31 JPn - - 145,000,000 -
31 JPB - - 145,000,000 -
62100 31 JM - - 145,000,000 -
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Electricity Expense GENERAL LEDGER 62200
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 4,400,000
31 JNK - - 4,400,000 -
31 JPK 900,000 - 5,300,000 -
31 JPn - - 5,300,000 -
31 JPB - - 5,300,000 -
62200 31 JM - - 5,300,000 -
Account Number:
Account: Water & Telephone Expense GENERAL LEDGER 62300
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 45,000,000
31 JNK - - 45,000,000 -
31 JPK 900,000 - 45,900,000 -
31 JPn - - 45,900,000 -
31 JPB - - 45,900,000 -
62300 31 JM - - 45,900,000 -
Account Number:
Account: Utility Expense GENERAL LEDGER 62400
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 67,420,000
31 JNK - - 67,420,000 -
31 JPK - - 67,420,000 -
31 JPn - - 67,420,000 -
31 JPB - - 67,420,000 -
62400 31 JM - - 67,420,000 -
Account Number:
Account: Depreciation Expense - Equipment GENERAL LEDGER 62500
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
62500 31 JM - - - -
Account Number:
Account: Supplies Expense GENERAL LEDGER 62600
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
62600 31 JM - - - -
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Transportation Expense GENERAL LEDGER 62700
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 68,000,000
31 JNK - - 68,000,000 -
31 JPK 900,000 - 68,900,000 -
31 JPn - - 68,900,000 -
31 JPB - - 68,900,000 -
62700 31 JM - - 68,900,000 -
Account Number:
Account: Defected Inventory GENERAL LEDGER 62800
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
62800 31 JM - - - -
Account Number:
Account: Interest Revenue GENERAL LEDGER 81001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 18,800,000.00
31 JNK - - - 18,800,000
31 JPK - - - 18,800,000
31 JPn - - - 18,800,000
31 JPB - - - 18,800,000
81001 31 JM - - - 18,800,000
Account Number:
Account: Devidend Revenue GENERAL LEDGER 81002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - 30,000,000 - 30,000,000
31 JPK - - - 30,000,000
31 JPn - - - 30,000,000
31 JPB - - - 30,000,000
81002 31 JM - - - 30,000,000
Account Number:
Account: Gain on Sales Marketable Equity Securities GENERAL LEDGER 81003
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 35,000,000
31 JNK - 10,350,000 - 45,350,000
31 JPK - - - 45,350,000
31 JPn - - - 45,350,000
31 JPB - - - 45,350,000
81003 31 JM - - - 45,350,000
Account Number:
Account: Gain on Sales Plant Assets GENERAL LEDGER
PT Terus JAYA
GENERAL LEDGER
Account: Gain on Sales Plant Assets GENERAL LEDGER 81004
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance
31 JNK - - - -
31 JPK - - - -
31 JPn - - - -
31 JPB - - - -
81004 31 JM - - - -
Account Number:
Account: Late Fees Collected GENERAL LEDGER 81005
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 5,000,000.00
31 JNK - 837,672 - 5,837,672
31 JPK - - - 5,837,672
31 JPn - - - 5,837,672
31 JPB - - - 5,837,672
81005 31 JM - - - 5,837,672
Account Number:
Account: Bank Charges GENERAL LEDGER 82001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 25,000,000
31 JNK - - 25,000,000 -
31 JPK - - 25,000,000 -
31 JPn - - 25,000,000 -
31 JPB - - 25,000,000 -
82001 31 JM - - 25,000,000 -
Account Number:
Account: Interest Expense GENERAL LEDGER 82002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 114,150,000
31 JNK - - 114,150,000 -
31 JPK 4,736,000 - 118,886,000 -
31 JPn - - 118,886,000 -
31 JPB - - 118,886,000 -
82002 31 JM - - 118,886,000 -
Account Number:
Account: Company Income Tax GENERAL LEDGER 91002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 62,250,000
31 JNK 89,100 - 62,339,100 -
31 JPK 4,500,000 - 66,839,100 -
31 JPn - - 66,839,100 -
31 JPB - - 66,839,100 -
91002 31 JM - - 66,839,100 -
MENU
PT Terus JAYA
TRIAL BALANCE
December 31, 2014
ACCOUNT NO. ACCOUNT NAME DEBIT CREDIT
MENU
11100 Petty Cash 10,000,000 -
11101 Cash In Bank 221,978,872 -
11102 Marketable Equity Securities (MES) 26,250,000 -
11103 Account Receivable 392,491,000 -
11104 Allowances for Bad Debts - 4,375,000
11105 Employee Receivable 4,000,000 -
11106 Merchandise Inventory 64,180,200 -
11107 Office Supplies 42,840,000 -
11108 Value Added Taxes - In 24,500,000 -
11109 Prepaid Income Taxes 4,500,000 -
11110 Prepaid Rent 45,000,000 -
11111 Prepaid Expense - -
12100 Investment 210,000,000 -
13100 Land 600,000,000 -
13101 Vehicles 596,625,000 -
13102 Accumulated Depreciation - Vehicles - 86,250,000
13103 Equipment 350,000,000 -
13104 Accumulated Depreciation - Equipment - 155,000,000
21100 Account Payable - 145,700,000
21102 Telephone & water Payable - -
21103 Value Added Taxes - Out - 51,411,800
21104 Income Tax Payable - 5,200,000
21105 Insurance Payable - 1,018,000
21106 Devidend Payable - -
21107 BCA Loan - Long Term maturity - -
22101 BCA Loan - Long Term - 175,925,000
22102 Bond Payable - -
22103 Discount on Bond - -
31001 Cammond Stock - 700,000,000
31002 Additional Paid In capital - 400,000,000
31003 Retained Earning - 300,000,000
31004 Devidend 80,000,000 -
31005 Income Summary - -
41000 Sales - 5,398,165,000
41001 Sales discount 36,525,000 -
41002 Sales Returns 50,000,000 -
42100 Sales Service - 736,100,000
51000 Cost of sales 4,582,869,800 -
51001 Purchase Discount - 88,772,500
51002 Freigt Paid 10,000,000 -
61100 Wages & Salaries Expense (Sales) 310,000,000 -
61200 Bad Debts- expense - -
61300 Depreciation Expense - Vehicles 19,250,000 -
61400 Advertising Expense 28,650,000 -
61500 Rent Expense 95,000,000 -
62100 Wages & Salaries Expense (Administrative) 145,000,000 -
62200 Electricity Expense 5,300,000 -
62300 Water & Telephone Expense 45,900,000 -
62400 Utility Expense 67,420,000 -
62500 Depreciation Expense - Equipment - -
62600 Supplies Expense - -
62700 Transportation Expense 68,900,000 -
62800 Defected Inventory - -
81001 Interest Revenue - 18,800,000
81002 Devidend Revenue - 30,000,000
81003 Gain on Sales Marketable Equity Securities - 45,350,000
81004 Gain on Sales Plant Assets -
81005 Late Fees Collected - 5,837,672
82001 Bank Charges 25,000,000 -
82002 Interest Expense 118,886,000 -
91002 Company Income Tax 66,839,100 -
8,347,904,972 8,347,904,972 -
-
PT Terus JAYA
Memorial Journal (ADJUSTMENT)
December 2014 Page :
317,574,031 317,574,031
- -
62600 32,840,000.00 -
11107 - 32,840,000.00
62800 2,983,000.00 -
11106 - 2,983,000.00
11101 7,000,000.00 -
82001 1,000,000.00 -
81001 - 10,000,000.00
61200 15,249,550.00 -
11104 - 15,249,550.00
62700 950,000.00 -
11100 - 950,000.00
61500 9,000,000.00 -
11110 - 9,000,000.00
61300 45,000,000.00 -
62500 68,750,000.00 -
13102 - 45,000,000.00
13104 - 68,750,000.00
62300 800,000.00 -
21102 - 800,000.00
11111 877,500.00 -
62200 - 877,500.00
22101 125,000,000.00 -
21107 - 125,000,000.00
91002 8,123,981.00 -
21104 - 1,623,981.00
11109 - 4,500,000.00
317,574,031.00 317,574,031.00
-
MENU
Rp 6,123,981
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Petty Cash GENERAL LEDGER
11100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 10,000,000 -
31 Adjusment JM - 950,000 9,050,000 -
11100 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Cash In Bank GENERAL LEDGER 11101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 221,978,872 -
31 Adjusment JM 7,000,000 - 228,978,872 -
11101 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Marketable Equity Securities (MES) GENERAL LEDGER 11102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 26,250,000 -
31 Adjusment JM - - 26,250,000 -
11102 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Account Receivable GENERAL LEDGER
11103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 392,491,000 -
31 Adjusment JM - - 392,491,000 -
11103 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Allowances for Bad Debts GENERAL LEDGER 11104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 4,375,000
31 Adjusment JM - 15,249,550 - 19,624,550
11104 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Employee Receivable GENERAL LEDGER 11105
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 4,000,000 -
31 Adjusment JM - - 4,000,000 -
11105 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Merchandise Inventory GENERAL LEDGER 11106
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 64,180,200 -
31 Adjusment JM - 2,983,000 61,197,200 -
11106 31 Closing JM Err:504 #REF! Err:504 Err:504
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Office Supplies GENERAL LEDGER 11107
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 42,840,000 -
31 Adjusment JM - 32,840,000 10,000,000 -
11107 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Value Added Taxes - In GENERAL LEDGER 11108
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 24,500,000 -
31 Adjusment JM - - 24,500,000 -
11108 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Prepaid Income Taxes GENERAL LEDGER 11109
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 4,500,000 -
31 Adjusment JM - 4,500,000 - -
11109 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Prepaid Rent GENERAL LEDGER
11110
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 45,000,000 -
31 Adjusment JM - 9,000,000 36,000,000 -
11110 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Prepaid Expense GENERAL LEDGER 11111
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 877,500 - 877,500 -
11111 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: #REF! GENERAL LEDGER #REF!
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a #REF! #REF!
31 Adjusment JM #REF! #REF! #REF! #REF!
#REF! 31 Closing JM Err:504 #REF! #REF! #REF!
Account Number:
Account: Investment GENERAL LEDGER
12100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 210,000,000 -
31 Adjusment JM - - 210,000,000 -
12100 31 Closing JM Err:504 #REF! Err:504 Err:504
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Land GENERAL LEDGER 13100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 600,000,000 -
31 Adjusment JM - - 600,000,000 -
13100 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Vehicles GENERAL LEDGER 13101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 596,625,000 -
31 Adjusment JM - - 596,625,000 -
13101 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Accumulated Depreciation - Vehicles GENERAL LEDGER 13102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 86,250,000
31 Adjusment JM - 45,000,000 - 131,250,000
13102 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Equipment GENERAL LEDGER 13103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 350,000,000 -
31 Adjusment JM - - 350,000,000 -
13103 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Accumulated Depreciation - Equipment GENERAL LEDGER 13104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 155,000,000
31 Adjusment JM - 68,750,000 - 223,750,000
13104 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Account Payable GENERAL LEDGER 21100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 145,700,000
31 Adjusment JM - - - 145,700,000
21100 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: #REF! GENERAL LEDGER
#REF!
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a #REF! #REF!
PT Terus JAYA
GENERAL LEDGER
31 Adjusment JM #REF! #REF! #REF! #REF!
#REF! 31 Closing JM Err:504 #REF! #REF! #REF!
Account Number:
Account: Telephone & water Payable GENERAL LEDGER 21102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 800,000 - 800,000
21102 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Value Added Taxes - Out GENERAL LEDGER 21103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 51,411,800
31 Adjusment JM - - - 51,411,800
21103 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Income Tax Payable GENERAL LEDGER 21104
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 5,200,000
31 Adjusment JM - 1,623,981 - 6,823,981
21104 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Insurance Payable GENERAL LEDGER 21105
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 1,018,000
31 Adjusment JM - - - 1,018,000
21105 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Devidend Payable GENERAL LEDGER 21106
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
21106 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: BCA Loan - Long Term maturity GENERAL LEDGER 21107
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 125,000,000 - 125,000,000
21107 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: BCA Loan - Long Term GENERAL LEDGER 22101
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 175,925,000
PT Terus JAYA
GENERAL LEDGER
31 Adjusment JM 125,000,000 - - 50,925,000
22101 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Bond Payable GENERAL LEDGER 22102
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
22102 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Discount on Bond GENERAL LEDGER 22103
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
22103 31 Closing JM Err:504 #REF! Err:504 Err:504
Account Number:
Account: Cammond Stock GENERAL LEDGER 31001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 700,000,000
31 Adjusment JM - - - 700,000,000
31001 31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Additional Paid In capital GENERAL LEDGER 31002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 400,000,000
31 Adjusment JM - - - 400,000,000
31002 31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Retained Earning GENERAL LEDGER 31003
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 300,000,000
31 Adjusment JM - - - 300,000,000
31003 31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Devidend GENERAL LEDGER 31004
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 80,000,000 -
31 Adjusment JM - - 80,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Income Summary GENERAL LEDGER 31005
Balance
Date Description Ref. Debit Credit
PT Terus JAYA
GENERAL LEDGER
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Sales GENERAL LEDGER 41000
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 5,398,165,000
31 Adjusment JM - - - 5,398,165,000
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Sales discount GENERAL LEDGER 41001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 1 Opening Balance 36,525,000 -
31 Adjusment JM - - 36,525,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Sales Returns GENERAL LEDGER 41002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 50,000,000 -
31 Adjusment JM - - 50,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Sales Service GENERAL LEDGER 42100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 736,100,000
31 Adjusment JM - - - 736,100,000
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Cost of sales GENERAL LEDGER 51000
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 4,582,869,800 -
31 Adjusment JM - - 4,582,869,800 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Wages & Salaries Expense (Sales) GENERAL LEDGER 61100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 310,000,000 -
31 Adjusment JM - - 310,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Bad Debts- expense GENERAL LEDGER
PT Terus JAYA
GENERAL LEDGER
Account: Bad Debts- expense GENERAL LEDGER 61200
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 15,249,550 - 15,249,550 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Depreciation Expense - Vehicles GENERAL LEDGER 61300
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 19,250,000 -
31 Adjusment JM 45,000,000 - 64,250,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Advertising Expense GENERAL LEDGER 61400
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 28,650,000 -
31 Adjusment JM - - 28,650,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Rent Expense GENERAL LEDGER 61500
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 95,000,000 -
31 Adjusment JM 9,000,000 - 104,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Wages & Salaries Expense (Administrative) GENERAL LEDGER 62100
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 145,000,000 -
31 Adjusment JM - - 145,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Electricity Expense GENERAL LEDGER 62200
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 5,300,000 -
31 Adjusment JM - 877,500 4,422,500 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Water & Telephone Expense GENERAL LEDGER 62300
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 45,900,000 -
31 Adjusment JM 800,000 - 46,700,000 -
31 Closing JM #REF! #REF! #REF! #REF!
PT Terus JAYA
GENERAL LEDGER
Account Number:
Account: Utility Expense GENERAL LEDGER 62400
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 67,420,000 -
31 Adjusment JM - - 67,420,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Depreciation Expense - Equipment GENERAL LEDGER 62500
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 68,750,000 - 68,750,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Supplies Expense GENERAL LEDGER 62600
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 32,840,000 - 32,840,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Transportation Expense GENERAL LEDGER 62700
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 68,900,000 -
31 Adjusment JM 950,000 - 69,850,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Defected Inventory GENERAL LEDGER 62800
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 2,983,000 - 2,983,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Interest Revenue GENERAL LEDGER 81001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 18,800,000
31 Adjusment JM - 10,000,000 - 28,800,000
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Devidend Revenue GENERAL LEDGER 81002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 30,000,000
31 Adjusment JM - - - 30,000,000
PT Terus JAYA
GENERAL LEDGER
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Gain on Sales Marketable Equity Securities GENERAL LEDGER 81003
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 45,350,000
31 Adjusment JM - - - 45,350,000
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Gain on Sales Plant Assets GENERAL LEDGER 81004
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a -
31 Adjusment JM - - - -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Late Fees Collected GENERAL LEDGER 81005
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a - 5,837,672
31 Adjusment JM - - - 5,837,672
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Bank Charges GENERAL LEDGER 82001
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 25,000,000 -
31 Adjusment JM 1,000,000 - 26,000,000 -
31 Closing JM #REF! #REF! #REF! #REF!
Account Number:
Account: Company Income Tax GENERAL LEDGER 91002
Balance
Date Description Ref. Debit Credit Debit Credit
Dec 31 Opening Balance a 66,839,100 -
31 Adjusment JM 8,123,981 - 74,963,081 -
31 Closing JM #REF! #REF! #REF! #REF!
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PT Terus JAYA worksheet december 2014
Acc. Trial Balance Adjusting Journal Entries Adjusted Trial Balance Income Summary Balance Shee
ACCOUNT NAME
No. DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT CREDIT DEBIT
11100 Petty Cash 10,000,000 - - 950,000 9,050,000 - - - 9,050,000
19,624,550
131,250,000
-
223,750,000
145,700,000
800,000
51,411,800
6,823,981
1,018,000
-
125,000,000
50,925,000
-
-
700,000,000
400,000,000
300,000,000
2,156,303,331
Balance Sheet
CREDIT
2,156,303,331
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2,156,303,331
473,666,241
2,629,969,572