Skate 'n'
Surf Statement of profit or loss for the period 1 June to 30 June 20XX |
||||
Revenue | ||||
Sales revenue | ||||
Sales revenue | 26,820 | |||
Less: Sales returns and allowances | 320 | |||
Net sales revenue | 26,500 | |||
Less: Cost of sales | 14,980 | |||
Gross profit | 11,520 | |||
Other revenue: | ||||
Discount received | 2,300 | |||
13,820 | ||||
Expenses | ||||
Advertising expense | 1,170 | |||
Depreciation expense | 450 | |||
Discount allowed | 280 | |||
Insurance expense | 320 | |||
Interest expense | 160 | |||
Postage and stationery expense | 150 | |||
Superannuation exepnse | 95 | |||
Wages expense | 1,000 | |||
Total expenses | 3,625 | |||
Net profit/(loss) | $10,195 |
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Skate 'n' Surf Statement of profit or loss for the period 1 June to 30 June...
Skate 'n' Surf Adjusted trial balance as at 30 June 20XX Account no. Account Debit Credit 100 Cash at bank 6,110 110 Accounts receivable 12,925 120 Inventory 40,370 130 Prepaid insurance 4,235 171 Shop equipment (cost) 33,300 172 Accumulated depreciation - shop equipment 694 200 Accounts payable 30,980 210 PAYG withholding payable 50 220 Superannuation payable 90 230 Bank loan 29,523 300 Capital 29,000 400 Sales revenue 23,925 410 Sales returns and allowances 1,100 420 Discount received 2,090 500 Cost...
100 Cash at bank 110 Accounts receivable 120 Inventory 130 Prepaid insurance 171 Shop equipment (cost) 172 Accumulated depreciation - shop equipment 200 Accounts payable 210 PAYG withholding payable 220 Superannuation payable 230 Bank loan 300 Capital 310 Drawings 320 Profit or loss summary 400 Sales revenue 410 Sales returns and allowances 420 Discount received 500 Cost of sales 600 Advertising expense 610 Depreciation expense 620 Discount allowed 630 Electricity expense 640 Insurance expense 650 Interest expense 660 Postage and...
The June transactions above have been journalised and posted. Skate ‘n’ Surf Trial balance as at 30 June 20XX Account no. Account Debit Credit 100 Cash at bank 14,860 110 Accounts receivable 16,430 120 Inventory 40,510 130 Prepaid insurance 4,080 171 Shop equipment (cost) 45,000 200 Accounts payable 30,280 210 PAYG withholding payable 40 230 Bank loan 41,900 300 Capital 37,000 400 Sales revenue 26,150 410 Sales returns and allowances 260 420 Discount received 2,000 500 Cost of sales 13,970...
The June transactions above have been journalised and posted. Skate ‘n’ Surf Trial balance as at 30 June 20XX Account no. Account Debit Credit 100 Cash at bank 13,840 110 Accounts receivable 15,570 120 Inventory 37,010 130 Prepaid insurance 4,560 171 Shop equipment (cost) 45,000 200 Accounts payable 25,970 210 PAYG withholding payable 60 230 Bank loan 41,100 300 Capital 38,000 400 Sales revenue 24,860 410 Sales returns and allowances 270 420 Discount received 2,100 500 Cost of sales 13,460...
The transactions above have been journalised and posted. The adjusted trial balance is below. Skate 'n' Surf Adjusted trial balance as at 30 June 20XX Account no. Account Debit Credit 100 Cash at bank 10,965 110 Accounts receivable 12,740 120 Inventory 40,470 130 Prepaid insurance 3,245 171 Shop equipment (cost) 32,600 172 Accumulated depreciation - shop equipment 408 200 Accounts payable 30,480 210 PAYG withholding payable 50 220 Superannuation payable 90 230 Bank loan 29,221 300 Capital 30,900 400 Sales...
The transactions above have been journalised and posted. The statement or profit or loss for June is below. Skate 'n' Surf Statement of profit or loss for the period 1 June to 30 June 20XX Revenue Sales revenue Sales revenue 27,710 Less: Sales returns and allowances 360 Net sales revenue 27,350 Less: Cost of sales 15,200 Gross profit 12,150 Other revenue: Discount received 2,200 14,350 Expenses Advertising expense 1,190 Depreciation expense 500 Discount allowed 265 Insurance expense 390 Interest...
Question 1 The trial balance for Mario's Pizza Palace at 30 June 20XX is presented below: Mario's Pizza Palace Trial balance as at 30 June 20XX Credit Debit 40,813 450 688 1,357 969 656 2,160 19,160 12,425 35,360 Account number 100 110 120 130 140 150 160 170 171 180 181 200 210 280 300 310 400 410 420 430 500 510 520 Account Cash Cash float Accounts receivable Inventory - food Inventory - packaging Prepaid advertising Prepaid insurance Motor...
The trial balance for Mario's Pizza Palace at 30 June 20XX is presented below: Mario's Pizza Palace Trial balance as at 30 June 20xx Credit Account number 100 110 120 130 Debit 42,350 450 679 1,366 995 586 2,127 19,290 140 150 160 170 171 180 181 200 210 12,137 32,750 11,360 14,767 1,356 17,735 60,275 280 41,127 300 310 400 410 420 183,203 48 522 430 Account Cash Cash float Accounts receivable Inventory - food Inventory - packaging Prepaid...
172 50 90 230 Adjusted trial balance as at 30 June 20XX Account no. Account Debit Credit 100 Cash at bank 10,965 110 Accounts receivable 12,740 120 Inventory 40,470 130 Prepaid insurance 3,245 171 Shop equipment (cost) 32,600 Accumulated depreciation - shop equipment 408 200 Accounts payable 30,480 210 PAYG withholding payable 220 Superannuation payable Bank loan 29,221 300 Capital 30,900 400 Sales revenue 23,900 410 Sales returns and allowances 560 420 Discount received 2,010 500 Cost of sales 12,410...
Fill in the blanks Question 1 The adjusted trial balance for Mario's Pizza Palace at 30 June is presented below: Mario's Pizza Palace Adjusted trial balance as at 30 June 20XX Account Credit number Account Debit 100 Cash 40,290 Cash float 110 460 Accounts receivable 120 668 130 Inventory - food Inventory - packaging Prepaid advertising 1,205 140 921 150 288 160 Prepaid insurance 1,212 Motor vehicles (cost) 170 16,350 - motor vehicles 171 Accumulated depreciation - 14,474 Store equipment...