Post-Adjustment trial balance for Dazzle Razzle as at 31 October 2024
Pre-adjustment Dr        Pre-adjustment Cr       Adjustment Dr         Adjustment Cr         Post-adjustment Dr       Post-adjustment Cr
Accounts receivable                                            445,500.00                                                                                   445,500.00
Accounts payable                                                                       556,800.00                                                                                   556,800.00
Accrued Expenses                                                                        24,800.00                                   12,000.00                                        36,800.00
Bank and cash                                                  117,450.00                                                                                  117,450.00
Capital                                                                              9,226,299.00                                                                                 9,226,299.00
Consumable stores on hand                                       75,604.00                                                            3,204.00               72,400.00
Drawings                                                         6,690.00                                                                                    6,690.00
Equipment                                                      756,000.00                                                            1,900.00              754,100.00
Computer equipment                                              42,000.00                                                            1,050.00               40,950.00
Motor Vehicles                                                 110,000.00                                                            5,500.00              104,500.00
Furniture and Fittings                                         554,000.00                                                                                  554,000.00
Income receivable                                               32,500.00                                                                                   32,500.00
Income received in advance                                                              78,900.00                                   91,000.00                                       169,900.00
Land and buildings                                           6,500,000.00                                                                                6,500,000.00
Machinery                                                      567,900.00                                                                                  567,900.00
Prepaid expenses                                                27,890.00                                                                                   27,890.00
Trading Stock                                                  125,678.00                                      3,822.00                                    129,500.00
Advertising expense                                            165,000.00                                                                                  165,000.00
Consumable expense                                              67,897.00                                      3,204.00                                     71,101.00
Cost of sales                                                2,872,644.00                                                                                2,872,644.00
Depreciation                                                   334,490.00                                     8,450.00                                     342,940.00
Insurance                                                      132,000.00                                    12,000.00                                     144,000.00
Printing and stationery                                        465,000.00                                                                                  465,000.00
Other operating expenses                                     1,345,000.00                                                                                1,345,000.00
Revenue from the sale of goods                                                       7,049,644.00                                                                                 7,049,644.00
Revenue from services rendered                                                         568,800.00                                                                                   568,800.00
Rental expense                                                  78,000.00                                                                                   78,000.00
Rental income                                                                          140,000.00            91,000.00                                                               49,000.00
Salaries and wages                                           2,656,000.00                                                                                2,656,000.00
Water and electricity                                          168,000.00                                                                                  168,000.00
Trading Stock Surplus                                                                                                               3,822.00                                          3,822.00
                                                            17,645,243.00           17,645,243.00           118,476.00            118,476.00            17,661,065.00            17,661,065.00
Student number: 3001137
Sheet name: Post-adjustment trial balance
Post-Adjustment trial balance for Dazzle Razzle as at 31 October 2024
                                                   Pre-adjustment Dr        Pre-adjustment Cr       Adjustment Dr         Adjustment Cr         Post-adjustment Dr       Post-adjustment Cr
Accounts receivable                                            445,500.00                                                                                   445,500.00
Accounts payable                                                                       556,800.00                                                                                   556,800.00
Accrued Expenses                                                                        24,800.00                                   12,000.00                                        36,800.00
Bank and cash                                                  117,450.00                                                                                  117,450.00
Capital                                                                              9,226,299.00                                                                                 9,226,299.00
Consumable stores on hand                                       75,604.00                                                            3,204.00               72,400.00
Drawings                                                         6,690.00                                                                                    6,690.00
Equipment                                                      756,000.00                                                            1,900.00              754,100.00
Computer equipment                                              42,000.00                                                            1,050.00               40,950.00
Motor Vehicles                                                 110,000.00                                                            5,500.00              104,500.00
Furniture and Fittings                                         554,000.00                                                                                  554,000.00
Income receivable                                               32,500.00                                                                                   32,500.00
Income received in advance                                                              78,900.00                                   91,000.00                                       169,900.00
Land and buildings                                           6,500,000.00                                                                                6,500,000.00
Machinery                                                      567,900.00                                                                                  567,900.00
Prepaid expenses                                                27,890.00                                                                                   27,890.00
Trading Stock                                                  125,678.00                                      3,822.00                                    129,500.00
Advertising expense                                            165,000.00                                                                                  165,000.00
Consumable expense                                              67,897.00                                      3,204.00                                     71,101.00
Cost of sales                                                2,872,644.00                                                                                2,872,644.00
Depreciation                                                   334,490.00                                     8,450.00                                     342,940.00
Insurance                                                      132,000.00                                    12,000.00                                     144,000.00
Printing and stationery                                        465,000.00                                                                                  465,000.00
Other operating expenses                                     1,345,000.00                                                                                1,345,000.00
Revenue from the sale of goods                                                       7,049,644.00                                                                                 7,049,644.00
Revenue from services rendered                                                         568,800.00                                                                                   568,800.00
Rental expense                                                  78,000.00                                                                                   78,000.00
Rental income                                                                          140,000.00            91,000.00                                                               49,000.00
Salaries and wages                                           2,656,000.00                                                                                2,656,000.00
Water and electricity                                          168,000.00                                                                                  168,000.00
Trading Stock Surplus                                                                                                               3,822.00                                          3,822.00
                                                            17,645,243.00           17,645,243.00           118,476.00            118,476.00            17,661,065.00            17,661,065.00
Statement of Comprehensive Income for Dazzle Razzle as at October 2024
                                                         C
Sales                                                     7,049,644.00
Revenue from the sale of goods                             7,049,644.00
Cost of Sales                                              2,872,644.00
Gross Profit                                               4,177,000.00
Other Income                                                 621,622.00
Rental income                                                 49,000.00
Trading Stock Surplus                                          3,822.00
Revenue from services rendered                               568,800.00
Gross Income                                               4,798,622.00
Operating expenses                                         5,435,041.00
Insurance                                                    144,000.00
Depreciation                                                 342,940.00
Advertising expense                                          165,000.00
Consumable expense                                            71,101.00
Printing and stationery                                      465,000.00
Rental expense                                                78,000.00
Salaries and wages                                         2,656,000.00
Water and electricity                                        168,000.00
Other operating expenses                                   1,345,000.00
Loss for the year                          -                 636,419.00
Student number: 3001137
Sheet name: SOCI
Statement of comprehensive income Dazzle Razzle as at 31 October 2024
                                                         C
Sales                                                     7,049,644.00
Revenue from the sale of goods                             7,049,644.00
Cost of Sales                                             2,872,644.00
Gross Profit                                              4,177,000.00
Other Income                                                 621,622.00
Rental income                                                 49,000.00
Trading Stock Surplus                                          3,822.00
Revenue from services rendered                               568,800.00
Gross Income                                              4,798,622.00
Operating expenses                                        5,435,041.00
Insurance                                                    144,000.00
Depreciation                                                 342,940.00
Advertising expense                                          165,000.00
Consumable expense                                            71,101.00
Printing and stationery                                      465,000.00
Rental expense                                                78,000.00
Salaries and wages                                         2,656,000.00
Water and electricity                                        168,000.00
Other operating expenses                                   1,345,000.00
Loss for the year                         -                  636,419.00
Student number: 3001137
Sheet name: SOCI Formula sheet
Statement of financial position of Dazzle Razzle as at 31 October 2024
                                                            C
                    ASSETS
            Non-current assets                                8,521,450.00
Computer equipment                                               40,950.00
Motor Vehicles                                                  104,500.00
Furniture and Fittings                                          554,000.00
Equipment                                                       754,100.00
Machinery                                                       567,900.00
Land and buildings                                            6,500,000.00
               Current Assets                                 825,240.00
 Accounts receivable                                          445,500.00
Bank and cash                                                 117,450.00
Consumable stores on hand                                      72,400.00
Income receivable                                              32,500.00
Trading Stock                                                 129,500.00
Prepaid expenses                                               27,890.00
               TOTAL ASSETS                                 9,346,690.00
          EQUITY AND LIABILITIES
                     Equity                                 8,583,190.00
Capital                                                     9,219,609.00
Loss for the year                            -                636,419.00
                    Liabilities                                          0
loan                                                                     0
             Current liabilities                              763,500.00
Accounts payable                                              556,800.00
Accrued Expenses                                               36,800.00
Income received in advance                                    169,900.00
       TOTAL EQUITY AND LIABILITIES                         9,346,690.00
Student number:3001137
Sheet name: SOFP
Statement of financial position of Dazzle Razzle as at 31 October 2024
                                                            C
                    ASSETS
            Non-current assets                                8,521,450.00
Computer equipment                                               40,950.00
Motor Vehicles                                                  104,500.00
Furniture and Fittings                                          554,000.00
Equipment                                                       754,100.00
Machinery                                                       567,900.00
Land and buildings                                            6,500,000.00
               Current Assets                                 825,240.00
 Accounts receivable                                          445,500.00
Bank and cash                                                 117,450.00
Consumable stores on hand                                      72,400.00
Income receivable                                              32,500.00
Trading Stock                                                 129,500.00
Prepaid expenses                                               27,890.00
               TOTAL ASSETS                                 9,346,690.00
          EQUITY AND LIABILITIES
                     Equity                                 8,583,190.00
Capital                                                     9,219,609.00
Loss for the year                            -                636,419.00
                    Liabilities                                          0
loan                                                                     0
             Current liabilities                              763,500.00
Accounts payable                                              556,800.00
Accrued Expenses                                               36,800.00
Income received in advance                                    169,900.00
       TOTAL EQUITY AND LIABILITIES                         9,346,690.00
Student number: 3001137
Sheet name : SOFP Formula sheet
Statement of changes in equity for Dazzle Razzle as for 31 October 2024
                                                         Capital                 Retained             Total
                                                                                  Profit
                                                          C                         C                  C
Balance at 1 November 2023                                    9,226,299.00                                 9,226,299.00
Loss for the year                                                            -         636,419.00 -          636,419.00
Distributions                                -                   6,690.00                         -            6,690.00
Contributions
Balance at 31 October 2024                                 9,219,609.00 -              636,419.00        8,583,190.00
Student number: 3001137
Sheet name: SOCIE
Statement of changes in equity for Dazzle Razzle as for 31 October 2024
                                                         Capital              Retained               Total
                                                                               Profit
                                                          C                      C                    C
Balance at 1 November 2023                                                -                                         -
Loss for the year                                                                 1,345,000.00            1,345,000.00
Distributions                                -                 75,604.00                         -           75,604.00
Contributions
Balance at 31 October 2024                   -                 75,604.00          1,345,000.00          1,269,396.00
Student number: 3001137
Sheet name: SOCIE Formula sheet