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Chapter 910

The document contains general ledger accounts, subsidiary ledgers, and journal entries for Ricardo Pangan Company for January 2021. It includes accounts for cash, accounts receivable, inventory, various expenses and liabilities, as well as income and equity accounts. The trial balance at the end summarizes the debit and credit balances of each account as of January 31, 2021.

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0% found this document useful (0 votes)
1K views22 pages

Chapter 910

The document contains general ledger accounts, subsidiary ledgers, and journal entries for Ricardo Pangan Company for January 2021. It includes accounts for cash, accounts receivable, inventory, various expenses and liabilities, as well as income and equity accounts. The trial balance at the end summarizes the debit and credit balances of each account as of January 31, 2021.

Uploaded by

Jamaica Moraleja
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
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Problem #5

Req.1

General Ledger

110 Cash 120 Accts. Rec. 130 Merch. Inv.


₱240,000 ₱613,700 ₱210,000 ₱860,000 ₱730,000
₱2,758,400 ₱1,420,000 ₱30,000 ₱730,000
₱2,998,400 ₱613,700 ₱1,630,000 ₱890,000
₱2,384,700 ₱740,000

140 Prepaid Rent 150 Office Supplies 160 Office Equipt.


₱90,000 ₱160,000 ₱1,000,000
₱90,000 ₱40,000 ₱1,000,000
₱200,000

165 Accu. Dep. 210 Notes Payable 220 Accts. Payable


₱250,000 ₱400,000 ₱300,000 ₱130,000
₱250,000 ₱170,000 ₱10,000 ₱1,370,000
₱570,000 ₱310,000 ₱1,500,000
₱1,190,000

230 Salaries Payable 310 Pangan, Capital 320 Pangan, Withdrawals


₱90,000 ₱1,650,000 ₱100,000
₱90,000 ₱1,650,000 ₱100,000

330 Income Summary 410 Sales 420 Sales Ret.& Allow.


₱1,064,700 ₱1,420,000 ₱30,000
₱1,064,700 ₱1,740,000 ₱30,000
₱3,160,000

430 Sales Discounts 510 Purchases 520 Purchases R&A


₱11,600 ₱1,370,000 ₱10,000
₱11,600 ₱70,000 ₱10,000
₱1,440,000

530 Purchase Discounts 540 Transportation In 610 Salaries Expense


₱6,300 ₱20,000 ₱80,000
₱6,300 ₱20,000 ₱80,000

620 Rent Expense 630 Office Supplies Exp. 640 Depreciation Expense
₱30,000 ₱130,000 ₱10,000
₱30,000 ₱130,000 ₱10,000
650 Interest Expense
₱10,000
₱10,000
Req.2

Subsidiary Ledger Pu

Accts. Receivable Subsidiary Ledger Date R.R. No.

R. Loyola (2/10, n/30) 12/28/20 Jan. 3 316


₱210,000 11
₱210,000 17
25
Accts. Payable Subsidiary Ledger 28
₱43 30
E. Samonte Comp. (3/10, n/30) 12/28/30
₱130,000
₱130,000 Sales Journa

Date Invoice No.

2021
Jan. 2 316

8 317
13 318
18 319
23 320
29 321
Purchases Journal
Credits Debits
Account Credited PR Purchases
Accts. Payable
Acct. Titles PR Amounts
T. Arenas Company / ₱90,000 Purchases ₱90,000
L. Viray Company / ₱120,000 Purchases ₱120,000
E. Samonte Company / ₱190,000 Purchases ₱190,000
A. Braganza Company / ₱340,000 Purcahses ₱340,000
L. Viray Company / ₱270,000 Purchases ₱270,000
T. Arenas Company / ₱360,000 Purchases ₱360,000
₱1,370,000 ₱1,370,000

Sales Journal
Post.
Account Debited Accts. Receivable Dr./Sales Cr.
Ref.

B. Bandonell / ₱240,000

G. Sevidal / ₱310,000
M. Cerda / ₱130,000
R. Loyola / ₱460,000
B. Bandonell / ₱110,000
M. Cerda / ₱170,000
₱1,420,000
Cash Receipts Journal
Debits
Date O.R. No. Description
Cash

Jan. 4 Collection to R. Loyola ₱205,800


5 Sales of merch ₱430,000
10 Collection from B. Bandonell ₱235,200
22 Collection from M. Cerda ₱127,400
25 Collection from G. Sevidal ₱280,000
27 First Morayta Bank Loan ₱170,000
30 Sales of merch ₱1,310,000
₱2,758,400
₱2,770,000

Cash Disbursement Journal


Credits
Date Ck. No. Description
Cash

Jan. 7 83 E. Samonte Company ₱126,100


11 84 T. Arenas Company ₱77,600
12 85 Paid merchandise ₱70,000
14 86 Paid interest ₱10,000
15 87 Paid salaries ₱80,000
19 88 Pangan, Withdrawals ₱100,000
21 89 Acquired office supplies for cash ₱40,000
22 90 Paid freight charges ₱20,000
26 91 Paid E. Samonte Company partially ₱90,000
₱613,700
₱620,000
Cash Receipts Journal
Debits Credits
Other Accts
Sales Discounts Accts. Receivable Sales
Acct. Titles PR
₱4,200 ₱210,000
₱430,000
₱4,800 ₱240,000
₱2,600 ₱130,000
₱280,000
Notes Payable
₱1,310,000
₱11,600 ₱860,000 ₱1,740,000
₱2,770,000 ₱2,770,000

Cash Disbursement Journal


Credits Debits
Sundries
Purchases Discount Accts. Payable Purchases
Acct. Titles PR
₱3,900 ₱130,000
₱2,400 ₱80,000
₱70,000
Interest Expense
Salaries Expense
Pangan, Withdrawals
Office Supplies
Transportation In
₱90,000
₱6,300 ₱300,000 ₱70,000
₱620,000 ₱620,000
Req.4-7
WO
Ricardo Pangan Company
Trial Balance
Other Accts Jan. 31, 2021
Amount Unadjusted
Account Titles Debit Credit
110 Cash ₱2,384,700
120 Accounts Receivable ₱740,000
130 Merchandise Inventory ₱730,000
140 Prepaid Rent ₱90,000
₱170,000 150 Office Supplies ₱200,000
160 Office Equipt. ₱1,000,000
₱170,000 165 Accum. Depreciation ₱250,000
210 Notes Payable ₱570,000
220 Accounts Payable ₱1,190,000
230 Salaries Payable
310 Pangan, Capital ₱1,650,000
Sundries 320 Pangan, Withdrawals ₱100,000
Amount 330 Income Summary
410 Sales ₱3,160,000
420 Sales Ret. & Allow. ₱30,000
430 Sales Discounts ₱11,600
₱10,000 510 Purchases ₱1,440,000
₱80,000 520 Purchases Ret. & Allow. ₱10,000
₱100,000 530 Purchases Discounts ₱6,300
₱40,000 540 Transportation In ₱20,000
₱20,000 610 Salaries Expense ₱80,000
620 Rent Expense
₱250,000 630 Offcie Supplies Expense
640 Depreciation Expense
650 Interest Expense ₱10,000
₱6,836,300 ₱6,836,300
WORKSHEET
gan Company Ricardo Pangan Company
Balance Financial Statements
1, 2021 For the Month End Jan. 31, 2021
Adjustments Adjusted Income Statement Balance Sheet
Debit Credit Debit Credit
₱2,384,700 ₱2,384,700
₱740,000 ₱740,000
₱730,000 ₱730,000 ₱470,000 ₱470,000
₱30,000 ₱60,000 ₱60,000
₱130,000 ₱70,000 ₱70,000
₱1,000,000 ₱1,000,000
₱10,000 ₱260,000 ₱260,000
₱570,000 ₱570,000
₱1,190,000 ₱1,190,000
₱90,000 ₱90,000 ₱90,000
₱1,650,000 ₱1,650,000
₱100,000 ₱100,000

₱3,160,000 ₱3,160,000
₱30,000 ₱30,000
₱11,600 ₱11,600
₱1,440,000 ₱1,440,000
₱10,000 ₱10,000
₱6,300 ₱6,300
₱20,000 ₱20,000
₱90,000 ₱170,000 ₱170,000
₱30,000 ₱30,000 ₱30,000
₱130,000 ₱130,000 ₱130,000
₱10,000 ₱10,000 ₱10,000
₱10,000 ₱10,000
₱260,000 ₱260,000 ₱6,936,300 ₱6,936,300 ₱2,581,600 ₱3,646,300 ₱4,824,700 ₱3,760,000
₱1,064,700 ₱1,064,700
₱3,646,300 ₱3,646,300 ₱4,824,700 ₱4,824,700
Problem #6
Voucher Register
Credit Debit
Date Voucher No. Payee Terms
Accts. Payable Purchases
Jul-01 701 Gloria 2/10, n/30 ₱9,500 ₱9,500
2 702 Reyes Rentals ₱7,250
9 703 Tanupan Express, Inc. F.O.B shipping point ₱520
15 704 Pechon Company 2/10, n/30 ₱8,000 ₱8,000
20 705 Pechon Company Cancelled -₱2,000 -₱2,000
24 706 Jerusalem Company 2/10, n/30 ₱12,500 ₱12,500
Check Register
Debit Check
Payee
Transpo. In Purch. R.&A Prepaid Rent No. Date
803 Jul-03 Reyes Rentals
₱7,250 804 Jul-10 Gloria
₱520 805 Jul-11 Tanupan Express, Inc.
Check Register
Debits Credits
Voucher No.
Accts. Payable Purch. Disc. Cash in Bank
702 ₱7,250 ₱7,250
701 ₱9,500 ₱190 ₱9,310
703 ₱520 ₱520
Problem #1
Req.1:
Direct Materials Used:
Raw Materials Inventory, Jan. 1, 2021 ₱26,490
Add: Net Cost of Purchases
Purchases-Raw Materials ₱361,920
Less: Purchases Ret. And Allowances ₱0
Purchases Discounts ₱0 ₱0
Net Purchases ₱361,920
Add: Transportation In ₱0 ₱361,920
Raw Materials Available for Use ₱388,410
Less: Raw Materials Inventory, Dec. 31, 2021 ₱24,910
Cost of Direct Materials ₱363,500

Direct Labor ₱99,085


Manufacturing Overhead
Plant Supervision ₱42,500
Indirect Labor ₱126,750
Factory Insurance ₱8,100
Factory Utilities ₱29,220
Depreciation- Factory Bldg. ₱46,200
Depreciation- Factory Equipt. ₱62,800
Manufacturing Supplies ₱9,460
Repairs and Maintenance ₱14,980
₱340,010
Req.2:
Total Manufacturing Cost ₱802,595
Add: Work in Progress Inventory, Jan. 1, 2021 ₱101,640
Total Costs of Goods Placed in Process ₱904,235
Less: Work in Progress Inventory, Dec. 31, 2021 ₱100,400
₱803,835
Finished Goods Inventory, Dec. 31, 2021 ₱141,100
Cost of Goods Manufactured ₱944,935 Req.3
Problem #2
Req. 1: Req. 2
Manufacturing Overhead Godofredo Cadelina Corp
Amortization of Patents ₱16,000 Schedule of Manufacturing
Depreciation Expense-Factory Bldg. ₱133,000 For the Year-Ended Decemb
Depreciation Expense-Factory Equipt. ₱78,000 Manufacturing Overhead
Direct Labor ₱250,000
Factory Insurance Expense ₱62,000
Factory Supervision ₱74,000
Factory Supplies Expense ₱21,000
Factory Utilities ₱115,000
Indirect Labor ₱26,000
Property Taxes-Factory Site ₱14,000
Repairs and Maintenance-Factory Equipt. ₱31,000
Req.3
Godofredo Cadelina Corporation Godofredo Cadelina Co
Schedule of Manufacturing Overhead Statement of Cost of Goods
For the Year-Ended December 31, 2021 For the Year-End Dec.
Manufacturing Overhead Direct Materials Used
Amortization of Patents ₱16,000
Depreciation Expense-Factory Bldg. ₱133,000
Depreciation Expense-Factory Equipt. ₱78,000
Factory Insurance Expense ₱62,000
Factory Supervision ₱74,000
Factory Supplies Expense ₱21,000
Property Taxes-Factory Site ₱14,000 Direct Labor
Factory Utilities ₱115,000 Manufacturing Overhead
Indirect Labor ₱26,000
Repairs and Maintenance-Factory Equipt. ₱31,000
Total ₱570,000

Total Manufacturing Cost


Add: Work in Process, Dec. 31, 2020
Total Cost of Goods Placed in Process
Less: Work in Process, Dec. 31, 2021
Cost of Goods Manufactured
Godofredo Cadelina Corporation
Statement of Cost of Goods Manufactured
For the Year-End Dec. 31, 2021
Direct Materials Used
Raw Materials Inventory, Dec. 31, 2020 ₱60,000
Add: Purchases-Raw Materials ₱313,000
Raw Materials Available for Use ₱373,000
Less: Raw Materials Inventory, Dec. 31, 2021 ₱78,000
Cost of Materials Used ₱295,000

Direct Labor ₱250,000


Manufacturing Overhead
Amortization of Patents ₱16,000
Depreciation Expense-Factory Bldg. ₱133,000
Depreciation Expense-Factory Equipt. ₱78,000
Factory Insurance Expense ₱62,000
Factory Supervision ₱74,000
Factory Supplies Expense ₱21,000
Property Taxes-Factory Site ₱14,000
Factory Utilities ₱115,000
Indirect Labor ₱26,000
Repairs and Maintenance-Factory Equipt. ₱31,000
₱570,000 ₱570,000

Total Manufacturing Cost ₱1,115,000


Add: Work in Process, Dec. 31, 2020 ₱8,000
Total Cost of Goods Placed in Process ₱1,123,000
Less: Work in Process, Dec. 31, 2021 ₱9,000
Cost of Goods Manufactured ₱1,114,000
Req. 4
Godofredo Cadelina Corporation
Income Statement
For the Year-End Dec. 31, 2021
Finished Goods Inventory, Dec. 31, 2020 ₱15,000
Add: Cost of Goods Manufactured ₱1,114,000
Goods Available For Sale ₱1,129,000
Less: Finished Goods Inventory, Dec. 31, 2021 ₱12,500
COGS ₱1,116,500

Sales ₱1,630,000
COGS ₱1,116,500
Gross Profit ₱513,500

Operating Expense
Advertising Expense ₱85,000
Uncollectible Accounts Expense ₱28,000
Depreciation Expense-Office Equipt. ₱37,000
Interest Expense ₱25,000
Property Taxes-Factory Site ₱14,000
Miscellaneous Expense ₱55,000
Total Expense ₱244,000

Net Profit ₱269,500


Problem #3
Req. 1 Req.2
Madelon Lee Com
WIP Inventory, End: Statement of Cost Goods
Direct Materials ₱18 For the Year-End
Direct Labor ₱7.50 Direct Materials Used:
MOH Applied (7.50*1.3) ₱10
Cost Per Unit of Ending WIP Inventory ₱35.25
Number of Units 4,500
Total Cost of WIP Ending Inventory ₱158,625

Direct Labor
Manufacturing Overhead
Madelon Lee Company
Statement of Cost Goods Manufactured
For the Year-End 2021
Direct Materials Used:
Raw Materials Inventory, Beg. ₱84,600
Add: Purchases-Raw Materials ₱311,400
Net Purchases ₱396,000
Less: Raw Materials Inventory, End. ₱91,080
Cost of Direct Materials Used ₱304,920

Direct Labor ₱450,000


Manufacturing Overhead
Factory Utilities ₱109,440
Indirect Labor ₱194,220
Repairs and Maintenance-Factory Equipt. ₱30,060
Property Taxes-Factory Site ₱19,260
Rent Expense-Factory Bldg. ₱84,600
Factory Insurance Expense ₱16,020
Factory Supplies Expense ₱34,920
Depreciation Expense-Factory Equipt. ₱82,800
Amortization of Patents ₱13,680
Total Manufacturing Overhead ₱585,000

Manufaturing OH Rate (TMOH/DL) 1.3 or 130%


Req.3

Closing Entries
1. To close manufacturing accounts with credit balances,
and to record ending inventory for materials and WIP:
Raw Materials Inventory, End ₱91,080
W.I.P. Inventory, End ₱81,000
Manufacturing Summary ₱0

2. To close manufacturing accounts with debit balances:


Manufacturing Summary ₱0
Raw Materials Inventory, Beg. ₱84,600
W.I.P. Inventory Beg. ₱99,360
Purchases-Raw Materials ₱311,400
Direct Labor ₱450,000
Indirect Labor ₱194,220
Repairs and Maintenance-Factory Equipt. ₱30,060
Property Taxes-Factory Site ₱19,260
Factory Insurance Expense ₱16,020
Factory Supplies Expense ₱34,920
Depreciation Expense-Factory Equipt. ₱82,800
Amortization of Patents ₱13,680
Problem #4
Statement of Income Statement Manufacturing
Account Financial Position Statement
Accounts Receivable ü
Uncollectible Accounts Expense ü
Finished Goods Inventory, Beg. ü
Work in Process Inventory, Beg. ü
Raw Materials Inventory, Beg. ü
Cash ü
Depreciation Expense-Factory Bldg.
Depreciation Expense-Factory Equipt.
Depreciation Expense-Office Bldg. ü
Depreciation Expense-Office Equipt. ü
Diret Labor ü
Finished Goods Inventory, End. ü ü
Work in Process Inventory, End. ü ü
Raw Materials Inventory, End. ü ü
Factory Supervision
Factory Supplies Expense
Insurance Expense-Factory Bldg.
Insurance Expense-Office Bldg. ü
Office Supplies Expense ü
Property Taxes-Factory Site
Purchases-Raw Materials ü
Sales ü
Overhead Schedule

ü
ü

ü
ü
ü

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