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LOUISE AND BRUCE RESTOBAR

(Proprietress: JOCELYN P. CALABIO


G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

COMPARATIVE BALANCE SHEET


As of December 31
2015 2014

ASSETS

CURRENT ASSETS

Cash on Hand & in Bank P 10,450.00 P 243,312.00


Petty Cash Fund 1,500.00 1,500.00
Prepaid Insurance - 1,500.00

Total Current Assets P 11,950.00 P 246,312.00

NON-CURRENT ASSETS

Kitchen Equipment P 150,000.00 P 150,000.00


Furniture and Fixtures 88,000.00 88,000.00
Kitchen Utensils, Glasses & Plates 209,725.00 209,725.00
Airconditioning 140,799.00 140,799.00
Refrigeration 35,000.00 35,000.00

Total Acquisition Cost P 623,524.00 P 623,524.00


Less: Accumulated Depreciation (124,704.00) (62,352.00)

Net Acquisition Cost P 498,820.00 P 561,172.00

TOTAL ASSETS P 510,770.00 P 807,484.00

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable P 83,000.00 P 37,656.00


Expanded W/holding Tax on Rental 250.00 750.00
Percentage Tax Payable 1,493.00 1,861.00

Total Liabilities P 84,743.00 P 40,267.00

OWNER'S EQUITY

JOCELYN P. CALABIO, Capital Beginning P 766,217.00 P 1,000,000.00


Add : Net/(Loss) Income for the year (510,190.00) (233,783.00)
Add : Working Capital 170,000.00 -

Total Balance Ending P 426,027.00 P 766,217.00

TOTAL LIABILITIES & OWNER'S EQUITY P 510,770.00 P 806,484.00


LOUISE AND BRUCE RESTOBAR
(Proprietress: JOCELYN P. CALABIO
G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

COMPARATIVE INCOME STATEMENT


For the year ended December 31
2015 2014

REVENUE

INCOME from RESTAURANT P 645,532.00 P 194,000.00


Less: Purchases (550,756.00) (168,788.00) 1
2
GROSS INOME P 94,776.00 P 25,212.00 3
Less: OPERATING EXPENSES 4
5
Salaries and Wages Expense P 182,969.00 P 73,063.00 6
Sales Incentives Benefit Expense 9,519.00 4,646.00 7
Electricity Expense 134,744.00 31,573.00 8
Water Consumption Expense 8,276.00 2,318.00 9
MyDSL Internet Wi-fi Expense 53,760.00 13,440.00 10
PLDT - Landline 17,136.00 4,284.00 11
Taxes and Licenses Expense 8,380.00 6,098.00 12
SSS Contribution Expense 33,288.00 4,459.00
Rental Expense 74,900.00 48,150.00
Depreciation Expense 62,352.00 62,352.00
Gasul Expense 17,142.00 7,114.00
Fuel, Oil and Lubricants Expense 755.00 248.00
Transportation and Traveling Expense 695.00 350.00
Miscellaneous Expense 1,050.00 900.00

Total Operating Expenses P 604,966.00 P 258,995.00

NET/(LOSS) INCOME from BUSINESS P (510,190.00) P (233,783.00)

LOUISE AND BRUCE RESTOBAR


(Proprietress: JOCELYN P. CALABIO
G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

SCHEDULE OF TAXES & LICENSES


Calendar Year 2014

01.20.14 Municipal License Fee Annual 6086106 A P 2,506.88


01.20.14 Electrical Fee 6086106 A 296.00
01.20.14 Garbage Fee 6086106 A 900.00
01.20.14 Health Certificate Fee 6086106 A 50.00
01.20.14 Laboratory Fee 6086106 A 60.00
01.20.14 Mechanical Fee 6086106 A 110.00
01.20.14 Mayor's Permit 6086106 A 1,000.00
01.20.14 Occupational Permit Fee 6086106 A 300.00
01.20.14 Renewal Sticker 6086106 A 5.00
01.20.14 Sanitary Permit Fee 6086106 A 200.00
01.20.14 Signboard 6086106 A 200.00
01.20.14 Sanitary Inspection Fee 6086106 A 400.00
01.20.14 Solid Waste Management 6086107 A 300.00
01.20.14 Tax Clearance 6086107 A 50.00
01.20.14 Zoning Fee 6086107 A 300.00
01.20.14 Tourism Fee 6086107 A 820.00
01.20.14 Fire Sanitary Inspection Fee 5745671 381.60
01.20.14 Business Permit Renewal 6137234 B 500.00

TOTAL TAXES AND LICENSES FOR THE YEAR 2014 P 8,379.48


purchases
48,735.00
57,411.00
47,434.00
30,807.00
53,638.00
37,353.00

275,378.00
KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES
(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center
F. Torres St. Corner E. Jacinto Extn., Davao City 8000

COMPARATIVE BALANCE SHEET


As of December 31
2015 2014

ASSETS

CURRENT ASSETS

Cash on Hand & in Bank P 10,450.00 P 243,312.00


Petty Cash Fund 1,500.00 1,500.00
Prepaid Insurance - 1,500.00

Total Current Assets P 11,950.00 P 246,312.00

NON-CURRENT ASSETS

Kitchen Equipment P 150,000.00 P 150,000.00


Furniture and Fixtures 88,000.00 88,000.00
Kitchen Utensils, Glasses & Plates 209,725.00 209,725.00
Airconditioning 140,799.00 140,799.00
Refrigeration 35,000.00 35,000.00

Total Acquisition Cost P 623,524.00 P 623,524.00


Less: Accumulated Depreciation #REF! (62,352.00)

Net Acquisition Cost P #REF! P 561,172.00

TOTAL ASSETS P #REF! P 807,484.00

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable P 83,000.00 P 37,656.00


Expanded W/holding Tax on Rental 250.00 750.00
Percentage Tax Payable 1,493.00 1,861.00

Total Liabilities P 84,743.00 P 40,267.00

OWNER'S EQUITY

JOCELYN P. CALABIO, Capital Beginning P 1,000,000.00 P 1,000,000.00


Add : Net/(Loss) Income for the year - -
Add : Working Capital 170,000.00 -

Total Balance Ending P 1,170,000.00 P 1,000,000.00

TOTAL LIABILITIES & OWNER'S EQUITY P 1,254,743.00 P 1,040,267.00


KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES
(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center
F. Torres St. Corner E. Jacinto Extn., Davao City 8000

COMPARATIVE INCOME STATEMENT


For the year ended December 31

2015 2014

REVENUE

INCOME from Karate P 56,000.00 P 39,200.00


Less: Taxes and Licenses Expense (6,226.40) -

NET INCOME from OPERATION P 49,773.60 P 39,200.00

KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES


(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center

SCHEDULE OF TAXES & LICENSES


Calendar Year 2015

01.17.15 Municipal License Fee Annual 6226807 A P 2,178.00


01.17.15 Electrical Fee 6226807 A 300.00
01.17.15 Garbage Fee 6226807 A 400.00
01.17.15 Health Certificate Fee 6226807 A 50.00
01.17.15 Laboratory Fee 6226807 A 60.00
01.17.15 Mechanical Fee 6226807 A 44.00
01.17.15 Mayor's Permit 6226807 A 800.00
01.17.15 Occupational Permit Fee 6226807 A 200.00
01.17.15 Renewal Sticker 6226807 A 5.00
01.17.15 Sanitary Permit Fee 6226807 A 200.00
01.17.15 Signboard 6226807 A 120.00
01.17.15 Plumbing Fee 6226807 A 120.00
01.17.15 Sanitary Inspection Fee 6226808 A 300.00
01.17.15 Solid Waste Management 6226808 A 300.00
01.17.15 Tax Clearance 6226808 A 50.00
01.17.15 Zoning Fee 6226808 A 300.00
01.17.15 Fire Sanitary Inspection Fee 14-1475953 299.40
01.31.15 B.I.R. Registration Renewal 0605 500.00
TOTAL TAXES AND LICENSES FOR THE YEAR 2015 P 6,226.40

KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES


(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center
F. Torres St. Corner E. Jacinto Extn., Davao City 8000

COMPARATIVE BALANCE SHEET


As of December 31
2015 2014

ASSETS

CURRENT ASSETS

Cash on Hand & in Bank P 10,450.00 P 243,312.00


Petty Cash Fund 1,500.00 1,500.00
Prepaid Insurance - 1,500.00

Total Current Assets P 11,950.00 P 246,312.00

NON-CURRENT ASSETS

Kitchen Equipment P 150,000.00 P 150,000.00


Furniture and Fixtures 88,000.00 88,000.00
Kitchen Utensils, Glasses & Plates 209,725.00 209,725.00
Airconditioning 140,799.00 140,799.00
Refrigeration 35,000.00 35,000.00

Total Acquisition Cost P 623,524.00 P 623,524.00


Less: Accumulated Depreciation #REF! (62,352.00)

Net Acquisition Cost P #REF! P 561,172.00

TOTAL ASSETS P #REF! P 807,484.00

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable P 83,000.00 P 37,656.00


Expanded W/holding Tax on Rental 250.00 750.00
Percentage Tax Payable 1,493.00 1,861.00

Total Liabilities P 84,743.00 P 40,267.00

OWNER'S EQUITY

JOCELYN P. CALABIO, Capital Beginning P 1,000,000.00 P 1,000,000.00


Add : Net/(Loss) Income for the year - -
Add : Working Capital 170,000.00 -

Total Balance Ending P 1,170,000.00 P 1,000,000.00

TOTAL LIABILITIES & OWNER'S EQUITY P 1,254,743.00 P 1,040,267.00


KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES
(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center
F. Torres St. Corner E. Jacinto Extn., Davao City 8000

COMPARATIVE INCOME STATEMENT


For the year ended December 31

2015 2014

REVENUE

INCOME from Karate P 56,000.00 P 39,200.00


Less: Taxes and Licenses Expense (6,226.40) -

NET INCOME from OPERATION P 49,773.60 P 39,200.00

KING'S SWORD SCHOOL OF MARTIAL ARTS & VALUES


(Proprietor: Roberto Nell Jone III Makinano Astudillo)
c/o Metrolifestyle Fitness Center

SCHEDULE OF TAXES & LICENSES


Calendar Year 2015

01.17.15 Municipal License Fee Annual 6226807 A P 2,178.00


01.17.15 Electrical Fee 6226807 A 300.00
01.17.15 Garbage Fee 6226807 A 400.00
01.17.15 Health Certificate Fee 6226807 A 50.00
01.17.15 Laboratory Fee 6226807 A 60.00
01.17.15 Mechanical Fee 6226807 A 44.00
01.17.15 Mayor's Permit 6226807 A 800.00
01.17.15 Occupational Permit Fee 6226807 A 200.00
01.17.15 Renewal Sticker 6226807 A 5.00
01.17.15 Sanitary Permit Fee 6226807 A 200.00
01.17.15 Signboard 6226807 A 120.00
01.17.15 Plumbing Fee 6226807 A 120.00
01.17.15 Sanitary Inspection Fee 6226808 A 300.00
01.17.15 Solid Waste Management 6226808 A 300.00
01.17.15 Tax Clearance 6226808 A 50.00
01.17.15 Zoning Fee 6226808 A 300.00
01.17.15 Fire Sanitary Inspection Fee 14-1475953 299.40
01.31.15 B.I.R. Registration Renewal 0605 500.00

TOTAL TAXES AND LICENSES FOR THE YEAR 2015 P 6,226.40


LOUISE AND BRUCE RESTOBAR
(Proprietress: JOCELYN P. CALABIO
G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

COMPARATIVE BALANCE SHEET


As of December 31
2015 2014

ASSETS

CURRENT ASSETS

Cash on Hand & in Bank P 10,450.00 P 243,312.00


Petty Cash Fund 1,500.00 1,500.00
Prepaid Insurance - 1,500.00

Total Current Assets P 11,950.00 P 246,312.00

NON-CURRENT ASSETS

Kitchen Equipment P 150,000.00 P 150,000.00


Furniture and Fixtures 88,000.00 88,000.00
Kitchen Utensils, Glasses & Plates 209,725.00 209,725.00
Airconditioning 140,799.00 140,799.00
Refrigeration 35,000.00 35,000.00

Total Acquisition Cost P 623,524.00 P 623,524.00


Less: Accumulated Depreciation (124,704.00) (62,352.00)

Net Acquisition Cost P 498,820.00 P 561,172.00

TOTAL ASSETS P 510,770.00 P 807,484.00

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable P 83,000.00 P 37,656.00


Expanded W/holding Tax on Rental 250.00 750.00
Percentage Tax Payable 1,493.00 1,861.00

Total Liabilities P 84,743.00 P 40,267.00

OWNER'S EQUITY

JOCELYN P. CALABIO, Capital Beginning P 766,217.00 P 1,000,000.00


Add : Net/(Loss) Income for the year (510,190.00) (233,783.00)
Add : Working Capital 170,000.00 -

Total Balance Ending P 426,027.00 P 766,217.00

TOTAL LIABILITIES & OWNER'S EQUITY P 510,770.00 P 806,484.00


LOUISE AND BRUCE RESTOBAR
(Proprietress: JOCELYN P. CALABIO
G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

COMPARATIVE INCOME STATEMENT


For the year ended December 31
2015 2014

REVENUE

INCOME from RESTAURANT P 645,532.00 P 194,000.00


Less: Purchases (550,756.00) (168,788.00) 1
2
GROSS INOME P 94,776.00 P 25,212.00 3
Less: OPERATING EXPENSES 4
5
Salaries and Wages Expense P 182,969.00 P 73,063.00 6
Sales Incentives Benefit Expense 9,519.00 4,646.00 7
Electricity Expense 134,744.00 31,573.00 8
Water Consumption Expense 8,276.00 2,318.00 9
MyDSL Internet Wi-fi Expense 53,760.00 13,440.00 10
PLDT - Landline 17,136.00 4,284.00 11
Taxes and Licenses Expense 8,380.00 6,098.00 12
SSS Contribution Expense 33,288.00 4,459.00
Rental Expense 74,900.00 48,150.00
Depreciation Expense 62,352.00 62,352.00
Gasul Expense 17,142.00 7,114.00
Fuel, Oil and Lubricants Expense 755.00 248.00
Transportation and Traveling Expense 695.00 350.00
Miscellaneous Expense 1,050.00 900.00

Total Operating Expenses P 604,966.00 P 258,995.00

NET/(LOSS) INCOME from BUSINESS P (510,190.00) P (233,783.00)

LOUISE AND BRUCE RESTOBAR


(Proprietress: JOCELYN P. CALABIO
G/F North Zen Basic Spaces, Sobrecarey St., Bo. Obrero, Davao City

SCHEDULE OF TAXES & LICENSES


Calendar Year 2014

01.20.14 Municipal License Fee Annual 6086106 A P 2,506.88


01.20.14 Electrical Fee 6086106 A 296.00
01.20.14 Garbage Fee 6086106 A 900.00
01.20.14 Health Certificate Fee 6086106 A 50.00
01.20.14 Laboratory Fee 6086106 A 60.00
01.20.14 Mechanical Fee 6086106 A 110.00
01.20.14 Mayor's Permit 6086106 A 1,000.00
01.20.14 Occupational Permit Fee 6086106 A 300.00
01.20.14 Renewal Sticker 6086106 A 5.00
01.20.14 Sanitary Permit Fee 6086106 A 200.00
01.20.14 Signboard 6086106 A 200.00
01.20.14 Sanitary Inspection Fee 6086106 A 400.00
01.20.14 Solid Waste Management 6086107 A 300.00
01.20.14 Tax Clearance 6086107 A 50.00
01.20.14 Zoning Fee 6086107 A 300.00
01.20.14 Tourism Fee 6086107 A 820.00
01.20.14 Fire Sanitary Inspection Fee 5745671 381.60
01.20.14 Business Permit Renewal 6137234 B 500.00

TOTAL TAXES AND LICENSES FOR THE YEAR 2014 P 8,379.48


purchases
48,735.00
57,411.00
47,434.00
30,807.00
53,638.00
37,353.00

275,378.00
STAR BODS XTREME GYM
(Proprietor: JAMES ANG LLANES
L1 B94 New Matina SIR Sandawa, Brgy Bucana, Davao City

COMPARATIVE BALANCE SHEET


As of December 31
2014 2013

ASSETS

CURRENT ASSETS

Cash on Hand & in Bank P 9,139.00 P 4,131.00


Accounts Receivable - Non Trade 8,795.00 8,794.71
Prepaid Insurance 1,653.00 1,653.00

Total Current Assets P 19,587.00 P 14,578.71

NON-CURRENT ASSETS depreciation-fti


depreciation-f&f
Fitness Tools & Implements P 150,000.00 P 150,000.00 depreciation-misc a
Furnitures & Fixtures 20,000.00 20,000.00 depreciation-se
Miscellaneous Assets 20,000.00 20,000.00
Land & Building Improvement 388,964.00 -
Service Equipment 980,000.00 -

Total Acquisition Cost P 1,558,964.00 P 190,000.00


Less: Accumulated Depreciation (139,000.00) (18,000.00)

Net Acquisition Cost P 1,419,964.00 P 172,000.00

TOTAL ASSETS P 1,439,551.00 P 186,578.71

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable P 500,000.00 P 8,439.71


Accrued Expenses 1,779.00 1,134.00
Percentage Tax Payable 450.00 -

Total Liabilities P 502,229.00 P 9,573.71

OWNER'S EQUITY

JAMES A. LLANES CAPITAL Beginning P 177,005.00 P 214,096.00


Add : Net Income for the year 60,317.00 12,909.00
Add : Working Capital 750,000.00 -
Less: Drawings (50,000.00) (50,000.00)

Total Balance Ending P 937,322.00 P 177,005.00

TOTAL LIABILITIES & OWNER'S EQUITY P 1,439,551.00 P 186,578.71


STAR BODS XTREME GYM
(Proprietor: JAMES ANG LLANES
L1 B94 New Matina SIR Sandawa, Brgy Bucana, Davao City 1
2
COMPARATIVE INCOME STATEMENT 3
For the year ended December 31 4
2014 2013 5
6
REVENUE 7
8
INCOME from FITNESS GYM P 180,000.00 P 180,000.00 9
10
Total Revenue P 180,000.00 P 180,000.00 11
12
Less: COST OF SERVICES
Purchases P 51,393.00 P 48,946.00 totals
Indirect Labor 6,000.00 3,541.00
Overhead Expenses 1,800.00 1,513.00

Total Cost of Services P 59,193.00 P 54,000.00 1


2
GROSS INOME P 120,807.00 P 126,000.00 3
Less: OPERATING EXPENSES 4
Allowances P 12,000.00 P 10,500.00 5
Benefits & Others 1,500.00 641.00 6
Light and Water Expense 9,569.00 6,413.00 7
Postage/Telecommunication & Internet Expense 6,962.00 4,641.00 8
Representation Expense 3,544.00 1,500.00 9
Insurance Expense 1,641.00 1,641.00 10
Taxes and Licenses Expense 6,415.00 5,541.00 11
Freight and Handling Expense 440.00 2,341.00 12
Supplies and Stationeries Expense 6,500.00 7,961.00
Depreciation Expense 121,000.00 9,000.00 totals
Rental Expense - 55,000.00
Repair and Maintenance Expense 1,232.00 1,354.00 sandawa
Fuel, Oil and Lubricants Expense 946.00 954.00 water
Transportation and Traveling Expense 4,500.00 3,654.00 light
Miscellaneous Expense 850.00 1,950.00
totals
Total Operating Expenses P 177,099.00 P 113,091.00

NET/(LOSS) INCOME from BUSINESS P (56,292.00) P 12,909.00

OTHER INCOME: RENTAL P 129,511.00


Less: Operating Expenses

Construction Supplies Expense P 2,503.00


Taxes and Licenses Expenses 8,649.00
Surcharge and Interest Expense 1,750.00

Total Operating Expenses P 12,902.00

Net Income from OTHER INCOME 116,609.00

NET INCOME FOR THE YEAR P 60,317.00


STAR BODS XTREME GYM
(Proprietor: JAMES ANG LLANES
L1 B94 New Matina SIR Sandawa, Brgy Bucana, Davao City

SCHEDULE OF TAXES & LICENSES


Calendar Year 2014

01.20.14 Municipal License Fee Annual 6121504 A P 2,506.88


01.20.14 Building Permit Fee 6121504 A 480.00
01.20.14 Garbage Fee 6121504 A 296.00
01.20.14 Health Certificate Fee 6121504 A 50.00
01.20.14 Laboratory Fee 6121504 A 60.00
01.20.14 Mechanical Fee 6121504 A 60.00
01.20.14 Mayor's Permit 6121504 A 800.00
01.20.14 Occupational Permit Fee 6121504 A 200.00
01.20.14 Plumbing Fee 6121504 A 120.00
01.20.14 Renewal Sticker 6121504 A 5.00
01.20.14 Sanitary Permit Fee 6121504 A 200.00
01.20.14 Signboard 6121505 A 200.00
01.20.14 Sanitary Inspection Fee 6121505 A 300.00
01.20.14 Solid Waste Management 6121505 A 300.00
01.20.14 Tax Clearance 6121505 A 50.00
01.20.14 Zoning Fee 6121505 A 300.00
02.21.14 Fire Sanitary Inspection Fee 6149843 A 436.60
03.04.14 Business Permit Renewal 6137234 B 50.00

Total Taxes and Licenses (Business) P 6,414.48


Add : OTHER TAXES & LICENSES
09.15.14 License Tax 2014 1638450 P 4,882.52
09.15.14 Business Permit Fee 1638450 416.47
09.15.14 Garbage Fee 1638450 1,500.00
09.15.14 Sanitary Inspection Fee 1638450 300.00
09.15.14 License Inspection/Business Plate 1638450 200.00
09.15.14 ESPF/DM Fee/RCEP/Security Fee 1638450 319.85
09.15.14 Attorney's Fee/Medical Fee-License 1638450 150.00
09.15.14 Fire Inspection Fee 1638450 350.00
09.15.14 Building Inspection Fee 1638448 180.00
09.15.14 SSF - Sanitation Service Fee 1638448 9.00
09.15.14 FSIF 14-317173 241.00
09.15.14 FSIC 14-317173 100.00

Total Taxes and Licenses (Realtor) P 8,648.84

TOTAL TAXES AND LICENSES for the YEAR 2014 P 15,063.32


depreciation-fti 15,000.00
depreciation-f&f 4,000.00
depreciation-misc a 4,000.00
depreciation-se 98,000.00

121,000.00
income-gym 3% tax

15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00
15,000.00 450.00

180,000.00

construction gas - sc supplies meals repair homeowner freight


supplies ass'n
-
1,436.00 5,000.00
4,675.00 7,834.00
106,533.60 12,091.00 150.00 1,029.00 440.00
59,605.00 7,900.00 398.00
29,737.00 11,200.00 2,117.00
25,365.00 9,000.00 1,232.00
26,653.00 8,146.00 2,503.00
4,905.00 7,400.00
6,410.00
14,400.00 5,900.00
30,719.00 5,000.00

304,028.60 85,881.00 150.00 3,544.00 1,232.00 2,503.00 440.00 -


84,935.00 (946.00)
388,963.60 84,935.00
5,104.00
4,465.00

9,569.00
DATE TRANSACTIONS U.Cost AMOUNT Payments BALANCES

05.21.16 (5) sets GI: lanz lu 1,000.00 1,000.00


felline bien 1,000.00 2,000.00
louis questo 1,000.00 3,000.00
christian intal 1,000.00 4,000.00
zil malinao 1,000.00 5,000.00
05.19.16 (20) pcs belts - asstd color 100.00 2,000.00 7,000.00
05.20.16 ( 6) pcs yellowbelt 100.00 600.00 7,600.00
05.25.16 ( 6) pcs greenbelt 100.00 600.00 8,200.00
( 2) pcs yellowbelt 100.00 200.00 8,400.00
( 5) pcs orangebelt 100.00 500.00 8,900.00
05.26.16 ( 2) pcs yellowbelt 100.00 200.00 9,100.00
( 1) pc orange/white combi 120.00 120.00 9,220.00
( 2) pcs yellow/orange combi 120.00 240.00 9,460.00
05.29.16 ( 8) pcs yellowbelt 100.00 800.00 10,260.00
( 7) pcs orangebelt 100.00 700.00 10,960.00
05.31.16 ( 8) pcs yellow/white combi 120.00 960.00 11,920.00
( 4) pcs yellowbelt 100.00 400.00 12,320.00
( 2) pcs orangebelt 100.00 200.00 12,520.00
( 1) set GI ranz olis 1,000.00 13,520.00
06.10.16 BIR/PF May 2016 710.00 14,230.00
06.10.16 collection partial payment 5,000.00 9,230.00
06.13.16 ( 3) pcs bluebelt 100.00 300.00 9,530.00
( 1) set GI leizle wong 1,000.00 10,530.00
06.26.16 collection partial payment 1,850.00 8,680.00
new orders: lanz lu add'l set 1,000.00 9,680.00
eujay lower only 450.00 10,130.00
raffy 1,000.00 11,130.00
paid orders: cyrus 1,000.00 1,000.00 11,130.00
paid orders: filbert 1,000.00 1,000.00 11,130.00
07.10.16 BIR/PF June 2016 710.00 11,840.00
07.16.16 collection partial payment 3,000.00 8,840.00
07.26.16 (10) pcs yellowbelt 100.00 1,000.00 9,840.00
07.28.16 ( 5) pcs orangebelt 100.00 500.00 10,340.00
(31) pcs patches lining-KS 10.00 310.00 10,650.00
08.17.16 BIR/PF July 2016 710.00 11,360.00
08.27.16 collection partial payment 1,000.00 10,360.00
fixing patches: dorothy, 2 pants, 2 jacket 60.00 10,420.00
BIR/PF Aug 2016 710.00 11,130.00
08.13.16 paid orders: JL & Ezekiel (1) set GI each 2,000.00 2,000.00 11,130.00
09.02.16 new orders: glher (1) set GI 1,000.00 12,130.00
kyle (1) set GI 1,000.00 13,130.00
09.12.16 collection partial payment 3,130.00 10,000.00
09.13.16 labor: dorothy - back patch 20.00
patches for 2 leaders 50.00 100.00

TOTALS 28,100.00 17,980.00


PURCHASES & EXPENSES AMOUNT INCOME NET INCOME

11.06.15 oxford black 9.5 mtrs 88.00 836.00


04.17.16 katrina 4.45 mtrs 217.62
04.20.16 oxford black 15 mtrs 88.00 1,320.00
transpo 100.00
slicing white 2 shts 410.00
shoe strings 50.00
thread 50.00
05.13.16 oxford black 27.4 mtrs 88.00 2,411.20
05.20.16 slicing white 1 sht 205.00
05.20.16 katrina 18.930 mtrs 954.16
transpo 100.00
SALES; April & May 2016
GI 9 1,000.00 9,000.00
GI 5 1,000.00 5,000.00
BELTS 62 100.00 6,200.00
COMBI-BELT 11 120.00 1,320.00
thread 6 120.00 -
06.02.16 slicing white 1 sht 205.00
06.02.16 katrina 12.5 mtrs asstd color 585.00
transpo 100.00 -
06.29.16 GI - leizle 1 1,000.00 1,000.00
BELTS 3 100.00 300.00
GI - eujay half 1 450.00 450.00
GI 4 1,000.00 4,000.00
07.26.16 BELTS 10 100.00 1,000.00
07.28.16 BELTS 5 100.00 500.00
OTHER LABOR:
patches lining 31 10.00 310.00
fixing patches 3 20.00 60.00
08.13.16 GI - jl/ezekiel 2 1,000.00 2,000.00
08.31.16 NCCC asstd purchases 1,138.25
08.31.16 slicing white 1 205.00
transpo 100.00

09.02.16 GI-glher/kyle 2 1,000.00 2,000.00


-
-
-
-
-

TOTALS 8,802.23 33,140.00 24,337.77


CARWASH/AUTO DETAILING
Proprietor: David T. Ang Jr.
803 Loreto Street, Juna Subdivision, Brgy. Matina Crossing, Davao City

BALANCE SHEET
As of December 31, 2018

ASSETS

CURRENT ASSETS

Cash on Hand and in Bank P 31,518.01


Rental Security Deposits 12,000.00
Petty Cash Fund 5,000.00
Total Current Assets P 48,518.01

NON-CURRENT ASSETS

Compressor P 15,000.00
Vaccuum 3 units 15,000.00
Power Sprayer 3 units 18,000.00

Total Acquisition Cost P 48,000.00 -


Less: Accumulated Depreciation (2,400.00)
Net Acquisition Cost 45,600.00

TOTAL ASSETS P 94,118.01

LIABILITIES & OWNER'S EQUITY

CURRENT LIABILITIES

Accounts Payable - Others P 10,000.00


Accrued Expenses 2,000.00
Total Liabilities P 12,000.00

OWNER'S EQUITY

DAVID TE ANG JR - CAPITAL Beginning P 82,118.01


Add : Net Income for the year 103,018.01
Total Balance Ending P 185,136.02

TOTAL LIABILITIES & OWNER'S EQUITY P 197,136.02

CERTIFIED CORRECT:
DAVID TE ANG JR
Owner
CARWASH/AUTO DETAILING

Proprietor: David T. Ang Jr.


803 Loreto Street, Juna Subdivision, Brgy. Matina Crossing, Davao City

INCOME STATEMENT
For the year ending December 31 2018

REVENUE

INCOME from Carwash/Auto Detai P 146,000.00

Less: OPERATING EXPENSES

Taxes and Licenses Expense P 3,934.24


Light and Water Expense 13,392.75
Supplies Expense 5,400.00
Carwashers Incentives Allowance 10,605.00
Rental Expense 7,250.00
Depreciation Expense 2,400.00

Total Operating Expenses P 42,981.99

NET INCOME from BUSINESS OPERATION P 103,018.01

CERTIFIED CORRECT:

DAVID TE ANG JR
Owner
CARWASH/AUTO DETAILING

Proprietor: David T. Ang Jr.


803 Loreto Street, Juna Subdivision, Brgy. Matina Crossing, Davao City

SCHEDULE OF TAXES & LICENSES


Calendar Year 2016

05.08.15 Municipal License Fee N LDB999 0006234190-A P 1,095.18


05.08.15 Sanitary Inspection Fee 0006234190-A 300.00
05.08.15 Sanitary Permit Fee 0006234190-A 200.00
05.08.15 Plumbing Fee 0006234190-A 360.00
05.08.15 Mayor's Permit Fee 0006234190-A 3,000.00
05.08.15 Mechanical Fee 0006234190-A 220.00
05.08.15 License Plate 0006234190-A 150.00
05.08.15 Laboratory Fee 0006234190-A 60.00
05.08.15 Health Certificate Fee 0006234190-A 50.00
05.08.15 Garbage Fee 0006234190-A 100.00
05.08.15 Electrical Fee 0006234190-A 320.00
05.08.15 Building Permit Fee 0006234190-A 240.00
05.08.15 Solid Waste Management 0006234191-A 300.00
05.08.15 Tax Clearance 0006234191-A 50.00
05.08.15 Zoning Fee 0006234191-A 300.00
05.08.15 Fire Sanitary Inspection Fee 14-1495670 545.00
06.30.15 B.I.R. Registration Y2015 500.00

TOTAL TAXES AND LICENSES FOR THE YEAR 2015 P 7,790.18

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