Ledger Statement

Options




Yayasan Al Qalam Citragran
Ledger statement for 1.1.1.2.2.1.2.1. Cash Pemeliharaan Makam Operasional from 01-Jan-2023 to 31-Dec-2025
Bank or cash account Yes
Notes Koreksi opening balance + 23.066.667

Opening balance as on 01-Jan-2023 Dr 60,415,700.00
Closing balance as on 31-Dec-2025 Dr 102,889,200.00

Date Number Ledger Type Tag Debit Amount (Rp) Credit Amount (Rp) Balance (Rp) Actions
Current opening balanceDr 102,889,200.00
26-Apr-20241714115700Cr 1.1.1.2.2.1.2.1. Cash Pemeliharaan Makam Operasional (Cr 4488992.00)
Dr 3.1.1.2.1. Expense Pemeliharaan Masjid Operasional (Dr 2000000.00)
Dr 3.1.1.2.1. Expense Pemeliharaan Masjid Operasional (Dr 2000000.00)
Dr 3.1.1.2.1. Expense Pemeliharaan Masjid Operasional (Dr 488992.00)
payment entry by system, with note: LPJ Expense Fulfillment ...
PaymentCr 4,488,992.00Dr 98,400,208.00 View Edit Delete
Current closing balance0.00Cr 4,488,992.00Dr 98,400,208.00