The following is a summary of a cash book for the year ended 31 April 2012
Payments $ Receipts $
Rent 625 bar sales 583
Rates 200 entrance fees 60
Lighting 182 Members subscriptions 2, 220
Wages 760 Donations 350
Printing and stationery 126
General expenses 79
Creditors for bar purchases 430
Improvements to club house 388
Repairs 310
Additional information available from the records is as follows
31 April 2011 31April 2012
$ $
Creditors for- wines and spirits 190 130
Printing 12 16
Wages 27 38
Lighting 21 37
Arrears of subscriptions 89 97
Subscriptions Paid in Advance 45 38
Bar Stock 148 123
Cash in hand 60 72
Cash at bank 210
Premises 7, 500
Fittings (net of depreciation) 1, 740
Depreciation on fittings is to be provided at 10% on reducing balance.
Required:
a) A combined cash/bank account for the year ended 31st April 2012 and
b) An income and expenditure account for the year ended 31st April 2012, and a statement of financial position as at that date.