Kunci Jawab LAP KEU
Kunci Jawab LAP KEU
Kunci Jawab LAP KEU
492.167.118 492.167.118
- -
11200 Petty Cash 9.545.500 9.000.000 Accrued Expense 40.547.200 47.560.000 21200
11300 Account Receivable 2.356.387.000 1.400.000.000 VAT Out 214.217.000 90.650.000 21300
11400 Allowances of Doubtful Debt (117.819.350) (96.240.400) Income Taxes Payable (21) 1.849.000 1.576.000 21302
11600 Office Supplies 950.000 10.000.000 Income Taxes Payable 25 85.483.400 75.000.000 21304
11700 Prepaid Insurance - 37.440.000 Devidend Payable 305.000.000 150.000.000 21305
Equities
Amount 3.978.524.372 2.412.498.292 Capital Stock 1.525.000.000 1.225.000.000 31100
Total Assets 7.201.959.268 5.627.137.042 Total Liabilities & Equites 7.201.959.268 5.627.137.042
13400 -
13401
Net Cash Flow Used to Investing Activities (118.250.000)
FINANCING ACTIVITIES
22100 Cash payment Bank Loan (142.504.800)
31100 Isuance Capital Stock 300.000.000
31300 Isuance Capital Stock 60.000.000
31400 Peyment of Devidend (150.000.000)
Net Cash Flow from Investing Activities 67.495.200
31200 Devidend - -
DOC.
DATE DESCRIPTION REF DEBIT CREDIT
NO.
31-Des-16 BM-13 Sales 41100 13.425.630.000,00
Purchases Discount 51200 103.447.200,00
Interest Income 81100 14.124.540,00
Fregihts Collected 81400 -
Devidend Income 81600 47.080.000,00
Income Summary 31500 13.590.281.740,00
Account Number:
Account: Petty Cash GENERAL LEDGER
11200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 10.000.000 -
31 Adjusment JM - 454.500 9.545.500 -
11200 31 Closing JM - - 9.545.500 -
Account Number:
Account: Account Receivable GENERAL LEDGER
11300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 2.156.387.000 -
31 Adjusment JM 200.000.000 - 2.356.387.000 -
11300 31 Closing JM - - 2.356.387.000 -
Account Number:
Account: Allowances of Doubtful Debt GENERAL LEDGER
11400
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 96.240.400
31 Adjusment JM - 21.578.950 - 117.819.350
11400 31 Closing JM - - - 117.819.350
Account Number:
Account: Merchandise Inventory GENERAL LEDGER
11500
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 709.280.000 -
31 Adjusment JM - - 709.280.000 -
11500 31 Closing JM - - 709.280.000 -
Account Number:
Account: Office Supplies GENERAL LEDGER
11600
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 10.142.500 -
31 Adjusment JM - 9.192.500 950.000 -
11600 31 Closing JM - - 950.000 -
Account Number:
Account: Prepaid Insurance GENERAL LEDGER
11700
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 3.120.000 -
31 Adjusment JM - 3.120.000 - -
11700 31 Closing JM - - - -
Account Number:
Account: Prepaid Rent GENERAL LEDGER
11800
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 174.500.000 -
31 Adjusment JM - 6.500.000 168.000.000 -
11800 31 Closing JM - - 168.000.000 -
Account Number:
Account: Prepaid Income Taxes GENERAL LEDGER
11902
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 108.631.600 -
31 Adjusment JM 9.875.600 118.507.200 - -
11902 31 Closing JM - - - -
Account Number:
Account: Investment GENERAL LEDGER
12100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 986.425.000 -
31 Adjusment JM - - 986.425.000 -
12100 31 Closing JM - - 986.425.000 -
Account Number:
Account: Land GENERAL LEDGER
13100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 1.500.000.000 -
31 Adjusment JM - - 1.500.000.000 -
13100 31 Closing JM - - 1.500.000.000 -
Account Number:
Account: Building GENERAL LEDGER
13200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 750.000.000 -
31 Adjusment JM - - 750.000.000 -
13200 31 Closing JM - - 750.000.000 -
Account Number:
Account: Acc Depr Building GENERAL LEDGER
13201
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 150.000.000
31 Adjusment JM - 3.125.000 - 153.125.000
13201 31 Closing JM - - - 153.125.000
Account Number:
Account: Vehicles GENERAL LEDGER
13300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 18.250.000 -
31 Adjusment JM - - 18.250.000 -
13300 31 Closing JM - - 18.250.000 -
Account Number:
Account: Acc Depr Vehicles GENERAL LEDGER
13301
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 190.104 - 190.104
13301 31 Closing JM - - - 190.104
Account Number:
Account: Acc Depr Equipment GENERAL LEDGER
13401
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 30.840.000
31 Adjusment JM - 1.285.000 - 32.125.000
13401 31 Closing JM - - - 32.125.000
Account Number:
Account: Account Payable GENERAL LEDGER
21100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 2.075.585.600
31 Adjusment JM - - - 2.075.585.600
21100 31 Closing JM - - - 2.075.585.600
Account Number:
Account: Accrued Expense GENERAL LEDGER
21200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 40.547.200 - 40.547.200
21200 31 Closing JM - - - 40.547.200
Account Number:
Account: VAT Out GENERAL LEDGER
21300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 214.217.000
31 Adjusment JM - - - 214.217.000
21300 31 Closing JM - - - 214.217.000
Account Number:
Account: Income Taxes Payable (21) GENERAL LEDGER
21302
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 1.849.000 - 1.849.000
21302 31 Closing JM - - - 1.849.000
Account Number:
Account: Income Taxes 23 Payable GENERAL LEDGER
21303
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
21303 31 Closing JM - - - -
Account Number:
Account: Income Taxes Payable 25 GENERAL LEDGER
21304
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - 85.483.400 - 85.483.400
21304 31 Closing JM - - - 85.483.400
Account Number:
Account: Bank Jateng Loan GENERAL LEDGER
22100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 244.964.600
31 Adjusment JM - - - 244.964.600
22100 31 Closing JM - - - 244.964.600
Account Number:
Account: Capital Stock GENERAL LEDGER
31100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 1.525.000.000
31 Adjusment JM - - - 1.525.000.000
31100 31 Closing JM - - - 1.525.000.000
Account Number:
Account: Devidend GENERAL LEDGER
31200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 305.000.000 -
31 Adjusment JM - - 305.000.000 -
31200 31 Closing JM - 305.000.000 - -
Account Number:
Account: Additional Paid In Capital GENERAL LEDGER
31300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 305.000.000
31 Adjusment JM - - - 305.000.000
31300 31 Closing JM - - - 305.000.000
Account Number:
Account: Retained Earnings GENERAL LEDGER
31400
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 1.417.700.642
31 Adjusment JM - - - 1.417.700.642
31400 31 Closing JM 305.000.000 1.291.611.826 - 2.404.312.468
Account Number:
Account: Income Summary GENERAL LEDGER
31500
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
31500 31 Closing JM 13.590.281.740 13.590.281.740 - -
Account Number:
Account: Sales GENERAL LEDGER
41100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 13.425.630.000
31 Adjusment JM - - - 13.425.630.000
31 Closing JM 13.425.630.000 - - -
Account Number:
Account: Sales Return and Allowances GENERAL LEDGER
41300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 1 Opening Balance 300.800.000 -
31 Adjusment JM - - 300.800.000 -
31 Closing JM - 300.800.000 - -
Account Number:
Account: Cost Of Merchandise Sold GENERAL LEDGER
51100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 10.517.896.000 -
31 Adjusment JM - - 10.517.896.000 -
31 Closing JM - 10.517.896.000 - -
Account Number:
Account: Purchases Discount GENERAL LEDGER
51200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 103.447.200
31 Adjusment JM - - - 103.447.200
31 Closing JM 103.447.200 - - -
Account Number:
Account: Utilities Expense GENERAL LEDGER
61100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 35.420.000 -
31 Adjusment JM 3.567.200 - 38.987.200 -
31 Closing JM - 38.987.200 - -
Account Number:
Account: Office Supplies Expense GENERAL LEDGER
61200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 249.874.000 -
31 Adjusment JM 9.192.500 - 259.066.500 -
31 Closing JM - 259.066.500 - -
Account Number:
Account: Doubftul Debts GENERAL LEDGER
61300
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 21.578.950 - 21.578.950 -
31 Closing JM - 21.578.950 - -
Account Number:
Account: Spoilage Expense GENERAL LEDGER
61400
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 23.920.000 -
31 Adjusment JM - - 23.920.000 -
31 Closing JM - 23.920.000 - -
Account Number:
Account: Depreciation Expense GENERAL LEDGER
61500
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 80.478.750 -
31 Adjusment JM 4.600.104 - 85.078.854 -
31 Closing JM - 85.078.854 - -
Account Number:
Account: Insurance Expense GENERAL LEDGER
61600
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 34.320.000 -
31 Adjusment JM 3.120.000 - 37.440.000 -
31 Closing JM - 37.440.000 - -
Account Number:
Account: Rent Expense GENERAL LEDGER
61700
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 71.500.000 -
31 Adjusment JM 6.500.000 - 78.000.000 -
31 Closing JM - 78.000.000 - -
Account Number:
Account: Wages and Salaries GENERAL LEDGER
61800
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 406.780.000 -
31 Adjusment JM 38.829.000 - 445.609.000 -
31 Closing JM - 445.609.000 - -
Account Number:
Account: Advertising Expense GENERAL LEDGER
61900
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 16.470.000 -
31 Adjusment JM - - 16.470.000 -
31 Closing JM - 16.470.000 - -
Account Number:
Account: Other Operating Expense GENERAL LEDGER
62000
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 29.497.550 -
31 Adjusment JM 454.500 - 29.952.050 -
31 Closing JM - 29.952.050 - -
Account Number:
Account: Interest Income GENERAL LEDGER
81100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 11.375.260
31 Adjusment JM - 2.749.280 - 14.124.540
31 Closing JM 14.124.540 - - -
Account Number:
Account: Late Fees Collected GENERAL LEDGER
81500
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM - - - -
31 Closing JM - - - -
Account Number:
Account: Devidend Income GENERAL LEDGER
81600
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - 47.080.000
31 Adjusment JM - - - 47.080.000
31 Closing JM 47.080.000 - - -
Account Number:
Account: Gain (Loss) on sales Of Fixed Assets GENERAL LEDGER
81700
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 24.375.000 -
31 Adjusment JM - - 24.375.000 -
31 Closing JM - 24.375.000 - -
Account Number:
Account: Interest Expense GENERAL LEDGER
82100
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 23.757.696 -
31 Adjusment JM - - 23.757.696 -
31 Closing JM - 23.757.696 - -
Account Number:
Account: Bank Service Charge GENERAL LEDGER
82200
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 2.164.800 -
31 Adjusment JM 196.800 - 2.361.600 -
31 Closing JM - 2.361.600 - -
Account Number:
Account: Income Taxes Expense Article 4(2) GENERAL LEDGER
91400
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a 8.756.240 -
31 Adjusment JM 137.464 - 8.893.704 -
31 Closing JM - 8.893.704 - -
Account Number:
Account: Income Taxes Expense GENERAL LEDGER
91450
Balance
Date Description Ref. Debit Credit
Debit Credit
Dec 31 Opening Balance a - -
31 Adjusment JM 194.115.000 - 194.115.000 -
31 Closing JM - 194.115.000 - -