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problem 4 - pudding co, Assignments of Business Taxation and Tax Management

session 7, cash received from customer

Typology: Assignments

2022/2023

Uploaded on 06/06/2025

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bg1
Prob
4-Pudding
co
Equity
Investment
Equity
Investment
300
.
000
.
000
106
.
250
.
000
62
.
500
.
000
Cash
land
625
.
000
.
000
Investment
income
1
.
200
.
000
x
25
%
300
.
000
.
000
Equity
Investment
Share
Premium
-
Preference
125
.
000
.
000
Cash
343
.
750
.
000180
.
000
.
000
Share
Capital
-
Preference
500
.
00
-
000
62
.
500
.
000
Equity
Investment
250
.
000
.
000
X
25
%
163
.
750
.
000
500
.
000
X
1
.
000
RE
RE
Jul
-
Dec
24
OSDD
210
.
000
.
000
3482
.
725
.
000
cast
div
56st
Interest
pay
750
.
000
2517
x6
%
x42
Notes
Pay
25
.
000
.
000
Jan
-
Jun
25
share
capital
-
ordinary
56
.
000
.
000
612
.
337
.
500
Interest
exp
750
.
000
2567
x6
%
x42
cash
Dir
Pay
FA-
Cash
dividend
4
.
039
.
062
.
500
cash
56
St
cash
1
.
500
.
000
Building
1
.
000
.
000
.
000
Building
&
BDE
2024
interest
pay
9
.
000
.
000
APr
>
/a
Dec
2024
cash
25
.
000
.
000
1250
.
000
-
000
AFDA
18
.
+
50
.
000
AFDA
warranty
exp
53
.
750
.
000
Interest
exp
3
.
000
.
000
Jan
/d
Mar
2025
AFDA
2
.
250
.
000
.
000
warranty
la
cash
12
.
000
.
000
Acc
.
Depr-B
AR
187
.
500
.
000
DepreXP
AR
2025
Bonds
Day
150
.
000
.
000
75
.
000
.
000
Acc
.
DePr-B
write
off
1
,
000
.
000
25
:
000
o
e
warranty
la
loss
on
redemption
15
.
000
.
000
25
.
000
.
000
262
.
500
-
000
cash
cash
165
.
000
.
000
Acc
.
Depr
-
V
casn
282
,
25
It
208
.
000
.
000
240
.
000
.
000
Amortization
exp-
>
Patent 5000151
. . .
32
.
000
.
000
Acc
.
depr
.
V
208
It
304
.
000
.
000
Depr
.
eXP
Acc
depr v
Gain
on
sale
90
,
25
It
416
.
000
.
000
volucie
400
t
cash
received
from
Customer
&
Cash
Paid
to
supplier
cash
paid
for
operating
exp
&
Casupaid
For
operating
exp
Sales
revenue
1
.
743
.
750
.
000
COGS
522
.
500
.
000
Interest
exp
3
.
750
.
000
operating
exp
+
71
.
500
.
000
BDE
(25
.
000
.
000)
-
-
Increase
in
AIR
(112
.
180
.
000)
+
increase
in
inventory
101
.
250
.
000
+
+
Decrease
in
interst pay
9
.
750
.
000
%-
non
cash
exp
-
Decrease
in
supplies
(19
.
050
.
000
-
Write
OFF
Alr
(15
.
000
.
000)
"I
decrease
in
Alp
26
.
250
.
000
13
.
500
.
000
Amorization
(15
.
125
.
000)
-
1
Decrease
in
prepaid
(26
.
500
-
000
Depr-B
1
.
616
.
250
.
000
650
.
000
.
000
175
.
000
.
000)
-
Decrease
in
Warran ty
25
.
000
.
000
cash
paid
for
income
tax
exp
Depr-v
(584
-
000
.
000)
25
1
.
625
.
000
Income
tax
exp
204
.
112
.
500
Pudding
Co
+
Decrease
in
Income
tax
Pay
95
.
887
.
500
Statement
of
Cash
Flow
-
Direct
Method
300
.
000
-
000
For
the
year
Ended
DeC
31
,
2025
Cash
Flow
From
Operating
activities
sales
of
investment
12
.
625
Beg
.
Cash
balance
7
5
.
000
cash
receiv
From
Customer
50
.
000
Receipt
of
dividend
9
.
000
End
.
Cash
balance
85
.
737
casn
pald
to
supplier
(15
.
000
Exchange
of
Machine
(4
.
500)
Non
Cash
activities
casn
pald
For
operating
exp
(7
.
750)
Net
cash
used
by
investing
activities
(19
.
125)
issurance
of
Ordinary
Sur
to
Purchase
land
13
.
500
Cash
pald
For
Interest
exp
(4
.
799)
Cash
Flow
From
Financing
activities
Cash
pald
For
Income
tax
exp
(10
.
000)
Insurance
of
bonds
payable
32
.
476
Net
cash
Provided
by
operating
activities
12
.
451
Payment
of
dividend
(5
.
065)
Cash
flow
from
Investing
activities
Redemption
of
notes
payable
(10
.
00)
sales
of
building
13
.
758
Net
case
provided
by
Financing
activities
17
.
All
Purchase
of
building
(50
.
000
Net
increase
In
cash
10
.
737

Partial preview of the text

Download problem 4 - pudding co and more Assignments Business Taxation and Tax Management in PDF only on Docsity!

Prob

4-Pudding

co

Equity Investment

Equity Investment

. 000

  1. 500

. 000

Cash

② land 625. 000. 000

Investment income

    1. 000 x 25 % 300. 000. 000 Equity

Investment

Share Premium

Preference

Cash 343

.

Share Capital

Preference 500

Equity

Investment

250. 000. 000 X 25 %

. 000

X

  1. 000

RE

RE

Jul

  • Dec 24

③ OSDD

cast div

56st

⑤Interest

pay 750. 000

2517 x6 %

x

Notes

Pay

. 000

Jan

  • Jun 25

share capital -

ordinary

. 000

612

.

  1. 500 Interest exp

2567 x6 %

x

cash

Dir

Pay

FA-

Cash dividend

.

  1. 500 cash

56 St cash

Building

      1. 000

Building

& BDE ⑦

interest

pay

. 000

APr

/a Dec 2024

cash

AFDA

AFDA

warranty

exp

. 000

Interest

exp 3. 000. 000 Jan

/d

Mar 2025

AFDA

warranty

la cash

12

Acc. Depr-B

AR

DepreXP

AR

Bonds Day

75. 000. 000 Acc

. DePr-B

write off

1

000 oe

warranty

la loss on redemption

000

cash cash

  1. 000

. 000

Acc

. Depr

- V

⑨ casn 282 , 25 It

    1. 000 240. 000. 000

Amortization

exp-

Patent 5000151

. 000

. 000

Acc.

depr

. V

It 304. 000.

Depr

.

eXP

Acc

depr v

Gain on sale 90 ,

It

volucie 400 t

cash received from Customer & Cash Paid to supplier ③

cash paid for

operating

exp & Casupaid For

operating

exp

Sales revenue 1

.

    1. 000

COGS

Interest exp

000 operating

exp

500. 000 BDE

    • Increase

in

AIR (112. 180.

increase in inventory 101. 250. 000

++ Decrease in

interst pay

%- non cash exp

Decrease in

supplies

  • Write OFF

Alr (

"I

decrease in Alp

. 000

. 000

Amorization

1 Decrease in

prepaid

Depr-B

. 616

. 250

. 000

  • Decrease in

Warranty

000

cash paid for income tax exp

Depr-v

Income tax exp

  1. 112

Pudding

Co

Decrease in Income tax

Pay

Statement of Cash Flow

  • Direct Method

. 000

For the year

Ended DeC 31 , 2025

Cash Flow

From Operating

activities sales of investment 12

. 625

Beg

. Cash balance

cash receiv From Customer 50

. 000

Receipt of

dividend

. 000

End. Cash balance 85

. 737

casn pald to supplier

Exchange

of Machine

Non Cash activities

casn paldFor operating exp (7. 750) Net cash used

by investing

activities

.

issurance of Ordinary Sur to Purchase land 13. 500

Cash pald For Interest exp

Cash Flow From Financing

activities

Cash pald For Income tax exp

(10.000) Insurance of bonds

payable 32. 476

Net cash

Provided by operating

activities

451 Payment of

dividend