Jawaban Soal Kasus-Siklus Akuntansi


Liat Ilustrasi transaksi di sini
Soal
2. Posting Ke Buku Besar (Ledger)
3. Neraca Saldo Sebelum Penyesuaian (Trial Balance)
Jawaban:
2. Pemostingan transaksi jurnal umum diatas ke buku besar adalah sbb:
Account : Cash                                                                               No : 11

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov
1

-





01
15,000
-
15,000
-
5

01
-
10,000
5,000
-
18

01
7,500
-
12,500
-
30

01
-
3,650
8,850
-
30

01
-
950
7,900
-
30

01
-
2,000
5,900
-
Des

-



-
1

01
-
2,400
3,500
-
1

01
-
800
2,700
-
1

01
360
-
3,060
-
6

01
-
180
2,880
-
11

02
-
400
2,480
-
13

02
-
950
1,530
-
16

02
3,100
-
4,630
-
20

02
-
900
3,730
-
21

02
650
-
4,380
-
23

02
-
1,450
2,930
-
27

02
-
1,200
1,730
-
31

02
-
310
1,420
-
31

02
-
225
1,195
-
31

02
2,870
-
4,065
-
31

02
-
2,000
2,065
-

Account : Account Receivable                                                      No : 12
Dete
Pos
Rf
Debit
Credit
Balance
Debit
Credit
Des
16







02
1,750
-
1,750
-
21

02
-
650
1,100
-
31

02
1,120
-
2,220
-

Account : Supplies                                                                         NO : 14
Dete
Pos
Rf
Debit
Credit
Balance
Debit
Credit
Nov
10







01
1,350
-
1,350
-
30

01
-
800
550
-
23

01
1,450
-
2,000
-

Account : Prepaid Insurance                                                        No : 15

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Des






1

01
2,400
-
2,400
-

Account:Land                                                                               No : 17
Date
Pos
Rf
Debit
Credit
Balance
Debit
Credit
Nov






5

01
10,000
-
10,000
-

Account: Office Equipment                                                           No : 18

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Des






4

01
1,800
-
1,800
-

Account:Account Payable                                                           No : 21

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






10

01
-
1,350
-
1,350
30

01
950
-
-
400
4

01
-
1,800
-
2,200
11

02
400
-
-
1,800
20

02
900
-
-
900

Account:Unearned Rent                                                               No : 23
Dete
Pos
Rf
Debit
Credit
Balance
Debit
Credit
Des






1

01
-
360
-
360

Account:Putri’s Capital                                                         No : 31

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






1

01
-
15,000
-
15,000

Account : Putri’s Withdrawl                                                   No : 32

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






16

01
2,000
-
2,000

31

02
2,000
-
4,000


Account:Fees Earned                                                               No : 41

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






18

01
-
7,500
-
7,500
Des






16

02

-
3,100
-
10,600


16

02
-
1,750
-
12,350
31

02
-
2,870
-
15,220
31

02
-
1,120
-
16,340

Account:Wages Expense                                                          No : 51

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






30

01
2,1250
-
2,125
-
Des






13

02
950
-
3,075
-
27

02
1,200
-
4,275
-

Account;Rent Expense                                                            No : 52

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






30

01
800
-
800
-
Des






1

01
800
-
1,600
-

Account:Utilities Expense                                                          N0 : 54

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






30

01
450
-
450
-
Des






31

02
310
-
760
-
31

02
225
-
985
-

Account:Supplies Expense                                                        No : 55

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






30

01
800
-
800
-

Account:Miscellaneuous Expense                                              No : 59

Dete

Pos

Rf

Debit

Credit
Balance
Debit
Credit
Nov






30

01
275
-
275
-
Des






6

01
180
-
455
-

3. Semua saldo akun-akun buku besar diposkan sesuai posisinya (Debet atau Kredit).
Putri Dewi
Trial Balance
31 December 2004
No
Akun
Debit
Credit
11
Cash
$ 2,065
-
12
Account Receivable
2,220
-
14
Supplies
2,000
-
15
Prepaid Insurance
2,400
-
17
Land
10,000
-
18
Office Equipment
1,800
-
21
Account Payable
-
900
23
Unearned Rent
-
360
31
Putri’s Capital
-
15,000
32
Putri’s Withdrawal
4,000
-
41
Fees Earned
-
16,340
51
Wages Expense
4,275
-
52
Rent Expense
1,600
-
54
Utilities Expense
985
-
55
Supplies Expense
800
-
59
Miscellaneous Expense
455
-

TOTAL
$32,600
$32,600

Sumber: Smart In Accounting

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