TERESITA BUENAFLOR COMPANY
WORKSHEET
                                                                                28-Feb-12
                                         TRIAL BALANCE                ADJUSTMENT          ADJUSTED TRIAL BALANCE           INCOME STATEMENT                 BALANCE SHEET
            ACCOUNTS
                                       DR             CR            DR            CR           DR           CR              DR          CR                 DR           CR
CASH                                 221,180.00                                              221,180.00                                                  221,180.00
ACCOUNTS RECEIVABLE                  428,000.00                                              428,000.00                                                  428,000.00
MERCHANDISE INVENTORY                413,000.00                                              413,000.00                   413,000.00                     397,000.00
SUPPLIES                              72,000.00                                58,000.00      14,000.00                                                   14,000.00
PREPAID INSURANCE                     48,000.00                                  2,000.00     46,000.00                                                   46,000.00
LAND                                 460,000.00                                              460,000.00                                                  460,000.00
BUILDING                           1,750,000.00                                            1,750,000.00                                                1,750,000.00
ACCUMULATED DEPRECIATION-BUILDING                   350,000.00                   9,000.00                 359,000.00                                                  359,000.00
EQUIPMENT                          2,310,000.00                                            2,310,000.00                                                2,310,000.00
ACCUMULATED DEPRECIATION-EQUIPMENT                  630,000.00                 12,000.00                  642,000.00                                                  642,000.00
ACCOUNTS PAYABLE                                    517,000.00                                            517,000.00                                                  517,000.00
MORTGAGE PAYABLE                                  2,600,000.00                                          2,600,000.00                                                2,600,000.00
BUENAFLOR CAPITAL                                 1,569,000.00                                          1,569,000.00                                                1,569,000.00
BUENAFLOR WITHDRAWAL                 400,000.00                                              400,000.00                                                  400,000.00
SALES                                             1,332,000.00                                          1,332,000.00                    1,332,000.00
SALES RETURN & ALLOWANCES            141,000.00                                              141,000.00                   141,000.00
SALES DISCOUNT                        11,840.00                                               11,840.00                    11,840.00
PURCHASES                            668,000.00                                              668,000.00                   668,000.00
PURCHASES RETURN & ALLOWANCES                        25,000.00                                             25,000.00                      25,000.00
PURCHASES DISCOUNT                                    7,020.00                                              7,020.00                       7,020.00
TRANSPORTATION IN                     13,000.00                                               13,000.00                    13,000.00
SALARIES EXPENSE                      51,000.00                   51,000.00                  102,000.00                   102,000.00
TRANSPORTATION OUT                     4,000.00                                                4,000.00                     4,000.00
ADVERTISEMENT EXPENSE                  6,000.00                                                6,000.00                     6,000.00
INTEREST EXPENSE                      26,000.00                                               26,000.00                    26,000.00
MISCELLANEOUS EXPENSE                  7,000.00                                                7,000.00                     7,000.00
BALANCE                            7,030,020.00 7,030,020.00
SALARIES PAYABLE                                                               51,000.00                    51,000.00                                                   51,000.00
INSURANCE EXPENSE                                                  2,000.00                   2,000.00                      2,000.00
DEPRECIATION EXPENSE-BUILDING                                      9,000.00                   9,000.00                      9,000.00
DEPRECIATION EXPENSE-EQUIPMENT                                    12,000.00                  12,000.00                     12,000.00
SUPPLIES EXPENSE                                                  58,000.00                  58,000.00                     58,000.00
INCOME SUMMARY                                                                                                                            397,000.00
TOTALS                                                           132,000.00   132,000.00   7,102,020.00   7,102,020.00   1,472,840.00   1,761,020.00
NET LOSS                                                                                                                   288,180.00                                   288,180.00
BALANCES                                                                                                                 1,761,020.00   1,761,020.00   6,026,180.00   6,026,180.00