CDJ-00017

POSTED

Check Voucher — BUREAU OF CUSTOMS (CV-2026-0031) / Chk SBC-06/02/26

Entry Date

2026-06-02

Fiscal Period

2026-06

Currency

PHP

Source

AP

Posted At

2026-07-05 09:46:29

Journal Lines
#AccountDescriptionDR/CRAmount (PHP)
1
Accounts Payable - Trade
2000
AP settled — BUREAU OF CUSTOMS / SI-00139 (CV-2026-0031)DEBIT19,824.00
2
Cash in Bank:Security Bank 7752
1120
Check SBC-06/02/26 — BUREAU OF CUSTOMSCREDIT19,824.00
TOTAL
DR: ₱19,824.00
CR: ₱19,824.00
General Ledger Impact
AccountMovementAmountRunning BalancePosted At
Accounts Payable - Trade
2000
DEBIT19,824.0027,584,031.872026-07-05 09:46:29
Cash in Bank:Security Bank 7752
1120
CREDIT19,824.0016,913,690.872026-07-05 09:46:29