10/31/00 Your City Name
15:36:01 GENERAL LEDGER WORKSHEET
October 31, 2000
ACCOUNT TRIAL BALANCE ADJUSTMENTS PROFIT AND LOSS BALANCE SHEET
NUMBER DESCRIPTION DEBIT CREDIT DEBIT
CREDIT DEBIT CREDIT DEBIT CREDIT
1 100 CASH-OPERATING ACCOUNT 7263.85 | * | * | * |
| * | * | * |
1 110 CASH-CUSTOMER DEPOSIT 20260.00 | * | * | * |
| * | * | * |
1 120 CASH-BOND FUND 3590.00 | * | * | * |
| * | * | * |
1 130 DEPRECIATION FUND 23425.00 | * | * | * |
| * | * | * |
1 150 SAVINGS 12000.00 | * | * | * |
| * | * | * |
1 200 ACCOUNTS RECEIVABLE - 19620.35 | * | * | * |
| * | * | * |
1 250 INVENTORY 16125.00 | * | * | * |
| * | * | * |
1 300 PLANT, PROPERTY, & EQU 2176850.00 | * | * | * |
| * | * | * |
1 310 ACCUMULATED DEPRECIATI -1300175.00 | * | * | * |
| * | * | * |
1 400 ACCOUNTS PAYABLE -17670.35 | * | * | * |
| * | * | * |
1 410 FICA TAXES PAYABLE -510.41 | * | * | * |
| * | * | * |
1 420 FEDERAL WITHHOLDING PA -286.20 | * | * | * |
| * | * | * |
1 430 STATE WITHHOLDINGS PAY -75.50 | * | * | * |
| * | * | * |
1 490 OTHER PAYROLL DEDUCTIO -260.00 | * | * | * |
| * | * | * |
1 500 BONDS PAYABLE -126420.00 | * | * | * |
| * | * | * |
1 600 FUND BALANCE -798795.72 | * | * | * |
| * | * | * |
**NET INCOME OR LOSS 34,941.02
1 700 WATER REVENUE -107335.60 | * | * | * |
| * | * | * |
1 710 SEWER REVENUE -52888.95 | * | * | * |
| * | * | * |
1 720 SANITATION -20514.10 | * | * | * |
| * | * | * |
1 730 OTHER -356.00 | * | * | * |
| * | * | * |
1 800 SALARIES 62870.00 | * | * | * |
| * | * | * |
1 810 PAYROLL TAXES 3524.76 | * | * | * |
| * | * | * |
1 820 SUPPLIES 7630.76 | * | * | * |
| * | * | * |
1 830 REPAIRS 14219.91 | * | * | * |
| * | * | * |
1 840 UTILITIES 11242.70 | * | * | * |
| * | * | * |
1 850 DEPRECIATION 28000.00 | * | * | * |
| * | * | * |
1 860 CHEMICALS 16776.50 | * | * | * |
| * | * | * |
1 870 OTHER 1889.00 | * | * | * |
| * | * | * |
WORKSHEET PROOF TOTALS 2,425,287.83 -2,425,287.83
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