Está en la página 1de 4

HOJA DE TRABAJO

AL 31/12/2019 SUMAS SALDOS AJUSTES SALDOS AJUSTADOS BALANCE ESTADO DE RESULTADO


No CUENTAS DEBE HABER DEBE HABER DEBE HABER DEBE HABER ACTIVO PAS + PAT EGRESO INGRESO
1 CAJA 150,000.00 75,000.00 75,000.00 75,000.00 75,000.00
2 CUENTAS POR COBRAR 88,000.00 25,000.00 63,000.00 63,000.00 63,000.00
3 CRÉDITO FISCAL IVA 7,500.00 7,500.00 7,500.00 - -
4 INVENTARIOS 55,000.00 55,000.00 1,319.25 56,319.25 56,319.25
5 MUEBLES Y ENSERES 80,000.00 80,000.00 1,918.91 81,918.91 81,918.91
6 VEHICULOS 125,000.00 125,000.00 2,998.30 127,998.30 127,998.30
7 MAQUINARIA Y EQUIPO 255,000.00 255,000.00 6,116.53 261,116.53 261,116.53
8 TERRENOS 50,000.00 50,000.00 1,199.32 51,199.32 51,199.32
9 EDIFICIO 800,000.00 800,000.00 19,189.13 819,189.13 819,189.13
10 GASTOS DE ORGANIZACIÓN 20,000.00 20,000.00 20,000.00 20,000.00
11 SEGUROS PAGADOS POR ADELANTADO 40,000.00 40,000.00 8,000.00 32,000.00 32,000.00
12 CUENTAS POR PAGAR 5,000.00 14,500.00 9,500.00 9,500.00 9,500.00
13 DEBITO FISCAL IVA 20,000.00 20,000.00 20,000.00 - -
14 IT POR PAGAR 8,659.79 8,659.79 12,500.00 21,159.79 21,159.79
15 CAPITAL SOCIAL 1,866,500.00 1,866,500.00 1,866,500.00 1,866,500.00
16 VENTAS 280,000.00 280,000.00 280,000.00 280,000.00
17 SUELDOS Y SALARIOS 195,500.00 195,500.00 195,500.00 195,500.00
18 COSTO DE VENTAS 410,000.00 410,000.00 410,000.00 410,000.00
19 IT 8,659.79 8,659.79 8,659.79 8,659.79
SUMAS TOTALES 2,289,659.79 2,289,659.79 2,184,659.79 2,184,659.79
20 AITB 44,770.64 32,741.45 12,029.19 12,029.19
21 DEPRECIACION MUEB Y ENS 8,191.89 8,191.89
22 DEPRECIACION VEHICULOS 25,599.66 25,599.66
23 DEPRECIACION MAQUINARIA 32,639.57 32,639.57
24 DEPRECIACION EDIFICIO 20,479.73 20,479.73
25 DEPRECIACION ACUM MUEB 8,191.89 8,191.89
26 DEPRECIACION ACUM VEHICULOS 25,599.66 25,599.66 -
27 DEPRECIACION ACUM MAQUINARIA 32,639.57 32,639.57
28 DEPRECIACION ACUM DE EDIFICIO 20,479.73 20,479.73 -
29 AMORTIZACION GASTOS ORG 479.73 479.73
30 AMORTIZACION ACUM GASTOS ORG 479.73 479.73
31 SEGUROS PAGADOS 8,000.00 8,000.00 8,000.00
32 AJUSTE DE CAPITAL 44,770.64 44,770.64 44,770.64
TOTAL 2,289,659.79 2,289,659.79 2,184,659.79 2,184,659.79 105,512.09 105,512.09 2,309,321.00 2,309,321.00 1,587,741.45 1,984,550.36 721,579.55 324,770.64
UTILIDAD DE LA GESTION (396,808.91) (396,808.91)
SUMAS 1,587,741.45 1,587,741.45
PASO 1: ACTUALIZA LOS ACTIVOS FIJOS VAL ACTUAL
CUENTAS AL 31/12/2018 FACTOR ACT ACTUALIZACION 12/31/2019
INVENTARIOS 55,000.00 0.02398641 1,319.25 56,319.25
MUEB Y ENS 80,000.00 0.02398641 1,918.91 81,918.91
VEHICULOS 125,000.00 0.02398641 2,998.30 127,998.30
MAQUINARIA 255,000.00 0.02398641 6,116.53 261,116.53
TERRENOS 50,000.00 0.02398641 1,199.32 51,199.32
EDIFICACIONES 800,000.00 0.02398641 19,189.13 819,189.13
32,741.45

GASTOS ORGANI 20,000.00 0.02398641 479.73 20,479.73


CAPITAL SOCIAL 1,866,500.00 0.02398641 44,770.64 1,911,270.64
% DEP DEPRECIAC
0.00% - 2.29076
10% 8,191.89 2.2371
20% 25,599.66
12.50% 32,639.57
0 -
2.50% 20,479.73
AITB
DEBE HABER
32,741.45 ACTIVOS FIJOS
3,333.33 GTOS ORGAN
676,666.67
676,666.67 36,074.78

También podría gustarte