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Buku Besar

Cash
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 5.000.000 5.000.000
May 2 Rent Expense 25.000 4.975.000
May 3 Supplies 200.000 4.775.000
May 4 Service Revenue 600.000 5.375.000
May 10 Other Expense 21.000 5.354.000
May 16 Salaries Expense 400.000 4.954.000
May 20 Account Receivable 1.000.000 5.954.000
May 21 Account Payable 200.000 5.754.000
May 25 Service Revenue 1.500.000 7.254.000
May 26 Other Expense 175.000 7.079.000
May 30 Utility Expense 200.000 6.879.000
May 30 Drawing, Purnomo 1.000.000 5.879.000
May 31 Salaries Expense 800.000 5.079.000

Account Receivable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 15 Service Revenue 2.300.000 2.300.000
May 20 Cash 1.000.000 1.300.000

Supplies
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Cash 200.000 200.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Buku Besar
Salaries Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 16 Cash 400.000 400.000
May 31 Cash 800.000 1.200.000

Rent Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 2 Cash 25.000 25.000

Utility Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 200.000 200.000

Other Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 10 Cash 21.000 21.000
May 26 Cash 175.000 196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Buku Besar
Cash
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 5.000.000 5.000.000
May 2 Rent Expense 25.000 4.975.000
May 3 Supplies 200.000 4.775.000
May 4 Service Revenue 600.000 5.375.000
May 10 Other Expense 21.000 5.354.000
May 16 Salaries Expense 400.000 4.954.000
May 20 Account Receivable 1.000.000 5.954.000
May 21 Account Payable 200.000 5.754.000
May 25 Service Revenue 1.500.000 7.254.000
May 26 Other Expense 175.000 7.079.000
May 30 Utility Expense 200.000 6.879.000
May 30 Drawing, Purnomo 1.000.000 5.879.000
May 31 Salaries Expense 800.000 5.079.000

Account Receivable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 15 Service Revenue 2.300.000 2.300.000
May 20 Cash 1.000.000 1.300.000

Supplies
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Cash 200.000 200.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Buku Besar
Cash
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 5.000.000 5.000.000
May 2 Rent Expense 25.000 4.975.000
May 3 Supplies 200.000 4.775.000
May 4 Service Revenue 600.000 5.375.000
May 10 Other Expense 21.000 5.354.000
May 16 Salaries Expense 400.000 4.954.000
May 20 Account Receivable 1.000.000 5.954.000
May 21 Account Payable 200.000 5.754.000
May 25 Service Revenue 1.500.000 7.254.000
May 26 Other Expense 175.000 7.079.000
May 30 Utility Expense 200.000 6.879.000
May 30 Drawing, Purnomo 1.000.000 5.879.000
May 31 Salaries Expense 800.000 5.079.000

Account Receivable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 15 Service Revenue 2.300.000 2.300.000
May 20 Cash 1.000.000 1.300.000

Supplies
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Cash 200.000 200.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Buku Besar
Cash
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 5.000.000 5.000.000
May 2 Rent Expense 25.000 4.975.000
May 3 Supplies 200.000 4.775.000
May 4 Service Revenue 600.000 5.375.000
May 10 Other Expense 21.000 5.354.000
May 16 Salaries Expense 400.000 4.954.000
May 20 Account Receivable 1.000.000 5.954.000
May 21 Account Payable 200.000 5.754.000
May 25 Service Revenue 1.500.000 7.254.000
May 26 Other Expense 175.000 7.079.000
May 30 Utility Expense 200.000 6.879.000
May 30 Drawing, Purnomo 1.000.000 5.879.000
May 31 Salaries Expense 800.000 5.079.000

Account Receivable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 15 Service Revenue 2.300.000 2.300.000
May 20 Cash 1.000.000 1.300.000

Supplies
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Cash 200.000 200.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital Drs. Purnomo Rp5.500.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Buku Besar
Cash
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 5.000.000 5.000.000
May 2 Rent Expense 25.000 4.975.000
May 3 Supplies 200.000 4.775.000
May 4 Service Revenue 600.000 5.375.000
May 10 Other Expense 21.000 5.354.000
May 16 Salaries Expense 400.000 4.954.000
May 20 Account Receivable 1.000.000 5.954.000
May 21 Account Payable 200.000 5.754.000
May 25 Service Revenue 1.500.000 7.254.000
May 26 Other Expense 175.000 7.079.000
May 30 Utility Expense 200.000 6.879.000
May 30 Drawing, Purnomo 1.000.000 5.879.000
May 31 Salaries Expense 800.000 5.079.000

Account Receivable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 15 Service Revenue 2.300.000 2.300.000
May 20 Cash 1.000.000 1.300.000

Supplies
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Cash 200.000 200.000
Buku Besar
Equipment
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Capital, Purnomo 500.000 500.000
May 3 Account Payable 450.000 950.000

Account Payable
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 3 Equipment 450.000 450.000
May 21 Cash 200.000 250.000

Capital, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 1 Cash & Equipment 5.500.000 5.500.000

Drawing, Drs. Purnomo


Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 1.000.000 1.000.000

Service Revenue
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 4 Cash 600.000 600.000
May 15 Account Receivable 2.300.000 2.900.000
May 25 Cash 1.500.000 4.400.000
Buku Besar
Salaries Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 16 Cash 400.000 400.000
May 31 Cash 800.000 1.200.000

Rent Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 2 Cash 25.000 25.000

Utility Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 200.000 200.000

Other Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 10 Cash 21.000 21.000
May 26 Cash 175.000 196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Salaries Expense Rp1.200.000
Buku Besar
Salaries Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 16 Cash 400.000 400.000
May 31 Cash 800.000 1.200.000

Rent Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 2 Cash 25.000 25.000

Utility Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 200.000 200.000

Other Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 10 Cash 21.000 21.000
May 26 Cash 175.000 196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Salaries Expense Rp1.200.000
Rent Expense Rp25.000
Buku Besar
Salaries Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 16 Cash 400.000 400.000
May 31 Cash 800.000 1.200.000

Rent Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 2 Cash 25.000 25.000

Utility Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 200.000 200.000

Other Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 10 Cash 21.000 21.000
May 26 Cash 175.000 196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp.5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Salaries Expense Rp1.200.000
Rent Expense Rp25.000
Utility Expense Rp200.000
Buku Besar
Salaries Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 16 Cash 400.000 400.000
May 31 Cash 800.000 1.200.000

Rent Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 2 Cash 25.000 25.000

Utility Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 30 Cash 200.000 200.000

Other Expense
Saldo
Tanggal Keterangan Ref Debit Kredit
Debit Kredit
May 10 Cash 21.000 21.000
May 26 Cash 175.000 196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Salaries Expense Rp1.200.000
Rent Expense Rp25.000
Utility Expense Rp200.000
Other Expense Rp196.000
Kantor Akuntan Drs. Purnomo
Neraca Saldo yang Belum Disesuaikan
May 2021

Nama Akun Debit Kredit


Cash Rp5.079.000
Account Receivable Rp1.300.000
Supplies Rp200.000
Equipment Rp950.000
Account Payable Rp250.000
Capital, Drs. Purnomo Rp5.500.000
Drawing, Drs. Purnomo Rp1.000.000
Service Revenue Rp4.400.000
Salaries Expense Rp1.200.000
Rent Expense Rp25.000
Utility Expense Rp200.000
Other Expense Rp196.000
Rp10.150.000 Rp10.150.000

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