PERTEMUAN 2 Chapter 2 Accounting Fundamental Reviews

Slides:



Advertisements
Similar presentations
Kalkulasi Biaya berdasarkan Pesanan/Job Order Costing Pertemuan 05-06
Advertisements

CH 11 CURRENT LIABILITIES AND PAYROLL ACCOUNTING Lecture 1, 2 Mata kuliah: F0024 – Pengantar Akuntansi II Tahun: 2010.
This is NOT a complete review of Chapter 2 & 3. You must still study your notes and chapter reviews from your electronic workbooks and read the Key Concepts.
Irwin/McGraw-Hill © The McGraw-Hill Companies, Inc., 1999 Accounting Records and Systems © The McGraw-Hill Companies, Inc., Part One: Financial.
CHAPTER TWO The Effect of Revenue and Expenses.
Internal Control Pertemuan 05 s.d 06 Matakuliah: F0712 / Lab Sistem Informasi Akuntansi Tahun: 2007.
1 Pertemuan 10 Latihan Soal Matakuliah: J0274/Akuntansi Manajemen Tahun: 2005 Versi: 01/00.
Finance and Accounting Department Pertemuan 12 Matakuliah: G0424 – Hotel and Restaurant Management Tahun: 2008.
Security Dalam Aplikasi Pertemuan 17 Matakuliah: F0654/Lab Sistem Informasi Akuntansi Tahun: 2007.
Running your restaurant Pertemuan Matakuliah: G0424 – Hotel and Restaurant Management Tahun: 2008.
Chapter 1 Exercises Accounting and the Business Environment
SYSTEM AND SUBSYSTEM Pertemuan 01 Matakuliah: F0204 / SISTEM AKUNTANSI Tahun: 2007.
Payroll Liabilities and Tax Records
FINANCIAL RESOURCES MANAGEMENT
LESSON 12-2 Financial Records and Financial Statements
CENTURY 21 ACCOUNTING © Thomson/South-Western 1 LESSON 13-1 CHAPTER 13 OBJECTIVES PAYROLL ACCOUNTING, TAXES, AND REPORTS DEFINE ACCOUNTING TERMS RELATED.
1 Accounting 100 Chapter 2 Analyzing Business Transactions.
Click to begin Click to begin Mr. Thomas Chapter 12.
© 2003 McGraw-Hill Australia Pty Ltd, PPTs t/a Accounting Information & Reporting Systems by A. Aseervatham and D. Anandarajah. Slides prepared by Kaye.
Sistem Biaya dan Akumulasi Biaya Pertemuan 03-04
Financial Puzzle FINANCIAL STATEMENTS By PresenterMedia.com PresenterMedia.com.
The Accounting Equation
Introduction to Hotel Accounting by Esther Lau, Controller
CHAPTER SIX APPENDIX STATEMENT OF CASH FLOWS. Fourth financial statement Explains... –what the business did to generate cash and –how the cash was used.
Purchasing Process Pertemuan 15 – 16 – 17
PERTEMUAN 1 Chapter 1 Hospitality Industry Accounting Matakuliah: V Manajemen Akuntansi Hotel Tahun:
JOURNAL ENTRIES JOE’S BARBER SHOP RECEIVED $40,00 CASH FROM OWNERS AND ISSUED COMMON STOCK TO THEM.
Analyzing Results Using The Income Statement Pertemuan 9 Matakuliah: V Operational Tata Hidang II Tahun: 2010.
1 CHAPTER 5 THE ACCOUNTING SYSTEM: CONCEPTS AND APPLICATIONS.
Topic: 1. Mark Zukarbarg ID: 2. Nikson ID: 3.Addams ID: 4.Paul ID: 5.Newton ID:
 Curb Company completed various transactions during  The annual accounting period ends December 31,  Prepare journal entries for each transaction.
JOURNAL ENTRIES: LIABILITES, OWNERS EQUITY, AND REVENUE TO INCREASE A LIABILITY, OWNERS EQUITY OR REVENUE ACCOUNT IT IS CREDITED TO DECREASE ONE OF THEM.
Financial Analysis of a Business
Six Sigma Management and Tools Pertemuan Matakuliah: Perancangan Manajemen Mutu Tahun: 2009.
MAINTAINING FINANCIAL INFORMATION
Matakuliah : F0204 / Sistem Akuntansi
Payroll Liabilities and Tax Records Making Accounting Relevant Federal, state, and local governments pass tax laws in order to generate revenue for government.
Group 1 Problem 9-8 NairiSouthydaAnidaLukeAlex. Determining Cash Flow Effects For each of the following transactions, determine whether cash flows from.
CENTURY 21 ACCOUNTING © Thomson/South-Western LESSON 13-1 Recording A Payroll.
Accounting for Derivatives Pertemuan Matakuliah: Akuntansi Keuangan Lanjutan I Tahun: 2010.
EXERCISES Week 5 Matakuliah : V0232 – Akuntansi Keuangan Hotel
Managing The Cost & Expenses Pertemuan 8 Matakuliah: V Operational Tata Hidang II Tahun: 2010.
PERTEMUAN 9 Chapter 9 MANAGERIAL ACCOUNTING FOR COSTS
Chapter 2 The Recording Process TA : Lamis Jameel Banasser.
The Master Budget and Responsibility Accounting Chapter 23.
Chapter 1 Accounting in Action TA : Lamis Jameel Banasser.
The Accounts Payable / Cash Disbursement (AP/CD) Process Pertemuan Matakuliah: F0642 / Perancangan Sistem Akuntansi Tahun: 2009.
DEVRY ACCT 216 W EEK 2 H OMEWORK Check this A+ tutorial guideline at homework For more classes.
Lesson 9.3 Recordkeeping for Businesses
Questions Week 4 Ch 6 Week 4 Ch 7
NILAI WAKTU DARI UANG (Time Value of Money) Pertemuan 11
PERTEMUAN 3 Chapter 3 The Income Statement
PERTEMUAN 10 Chapter 10 FORECASTING in the HOSPITALITY INDUSTRY
PERTEMUAN 11 Chapter 11 BUDGETING and INTERNAL CONTROLS
Review Pertemuan 13 Mata kuliah : F Akuntansi Keuangan I
3 Dimension View Pertemuan 5&6
Matakuliah : R0434/Aesthetics
LESSON 13-1 Recording A Payroll
The Accounting equation
Questions Week 1 Ch1 Week 1 Ch 2
University of 6th of October, Egypt
<<REQUIREMENTS FOR THE WHEELS CASE STUDY SYSTEM Pertemuan 5
Projection Pertemuan 10 Matakuliah : Matrix Algebra for Statistics
Matakuliah : V0232 – Akuntansi Keuangan Hotel
PERTEMUAN 12 Chapter 12 CAPITAL INVESTMENT, LEASING, and TAXATION
Income Statement Farwell Company has the following information available from its most recent fiscal year. Use the relevant information to determine the.
Financial Records and Financial Statements
MAINTAINING FINANCIAL INFORMATION
PERTEMUAN 8 Chapter 8 REVENUE ESTIMATED NONOPERATING EXPENSES
PERTEMUAN 7 Chapter 7 FOOD and BEVERAGE PRICING
Presentation transcript:

PERTEMUAN 2 Chapter 2 Accounting Fundamental Reviews Matakuliah : V0282 - Manajemen Akuntansi Hotel Tahun : 2009 - 2010 PERTEMUAN 2 Chapter 2 Accounting Fundamental Reviews

Food Inventory Accounts Payable Kassi Handover purchased a small café in a northern Texas town with $600,000 of her own money. Help her prepare her T accounts for the first month of operations using the following information. a. Kassi invested $600,000 cash in the café. Cash Owners’ Equit b. Kassi purchased $ 3,500 in food , all of which to be paid next month (accounts payable) Food Inventory Accounts Payable Bina Nusantara University

c. Kassi generated $10,000 in revenue, all received in cash. Cash Revenue d. Kassi paid her employees $3,600 this month with payroll checks (cash account) Cash Salaries and Wages