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xYZ InvEstinG, inC.

triaL BALance
dECember 31, 2017

ACCT. NO. ACCOUNT NAME LAST TXN


DEBIT CREDIT

DATE
1140000000 Cash in Bank-BDO S/A
12/29/2016 24,956,217.66

1141000000 Cash in Bank-BPI S/A


12/29/2016 874,839.60
1150000000 Cash in Bank-BDO C/A
08/28/2007
1151000000 Cash in Bank-BDO Clearing house
03/26/2012 110.68

1152000000 Cash in Bank-BDO(CCA)


12/29/2016 2,045,157.95
1154000000 Cash in Bank -BDO (Reserve Bank
12/29/2016 59,399,633.03
1155000000 Cash in Bank-BDO PCD
12/29/2016 455,211.69

1156000000 Cash Equivalents


08/22/2016 30,000,000.00
1157000000 Checks & Other Cash Items
02/26/1999
1160000000 Investment in Securities
03/19/2015 400,000.00

1190000000 Held for Trading Securities


12/29/2016 1,522,075.00
1191000000 Allowance for Mkt Decline
12/28/2006
1210000000 Furnitures & Fixtures
08/25/2011 897,791.10

1220000000 Equipment
10/13/2016 831,417.42
1230000000 Other Items
08/25/2011 19,796.25
1240000000 Transportation Equipment
06/02/2011 4,400,000.00

1241000000 Accum Depreciation - FFE


12/29/2016 1,671,373.93
1242000000 Accum Depreciation-Transportation
03/31/2016 4,399,998.00
1250000000 Computer Software
07/29/2011 0.00

1310000000 Condo & Condo Improvement


05/30/2014 13,337,602.20
1311000000 Investment - Property
12/29/2016 20,456,929.26
1320000000 Accum Dep - Condominium
09/30/2016 13,337,601.20

1321000000 Accum. Depreciation- Investment


09/30/2016 7,235,211.29
1410000000 Investment - Seat
04/23/2004
1411000000 Trading Right
05/17/2006 2,178,000.00

1420000000 Other Investment


08/31/2001
1430000000 Pre-operating Expenses
03/31/1998
1431000000 Prepaid Expenses
07/18/2012 0.00

1432000000 Prepaid Taxes & Licenses


11/22/2016 108,380.17
1433000000 Prepaid Insurance
11/14/2016 41,640.01
1440000000 Advance to Officers & Employees
12/14/2016 705,505.07

1450000000 Petty Cash Fund


12/29/2016 9,251.17
1460000000 Refundable Deposit
08/01/2008 7,880.98
1470000000 Accounts Receivable
12/29/2016 1,604.45

1471000000 Allow. For credit losses-receivable from


12/29/2016 0.00
1472000000 Notes Receivable
06/29/2010
1473000000 Interest Receivable
08/24/2010 0.00

1480000000 Creditable W/holding Tax


12/29/2016 146,296.35
1490000000 Deferred Tax Assets
12/29/2016 2,759,846.77
1491000000 Prepaid MCIT
04/27/2007

2110000000 Due to (from) Clearing


12/29/2016 627,050.00
2115000000 Due to (from) Customer
12/29/2016 97,999,778.37
2120000000 Loans Payable
01/31/2000

2125000000 SSS Premium Payable


12/15/2016 17,600.00
2125100000 SSS Loan Payable
12/14/2016 4,153.05
2125200000 ECC Payable
12/15/2016 300.00
2126000000 Phil. Health Premium Payable
12/15/2016 7,325.00
2130000000 HDMF Fund Payable
12/15/2016 2,000.00
2131000000 HDMF Loan Payable
12/14/2016 868.38

2135000000 Accounts Payable


12/27/2016 0.00
2135100000 Deferred Tax Liability
04/30/2014 0.00
2135200000 Retirement Liability
04/25/2016 496,913.19

5142000000 EC Contributions- Operations


12/15/2016 3,015.00
5142100000 EC Contributions- Admin
12/14/2016 345.00
5143000000 HDMF Fund Contributions-Operations
12/15/2016 10,450.00

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