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Profit & Loss Statement April 2012

                               Debt             Credit
Revenues:
Gross Revenue                                   172220
Expenses:
Mobile                         500
Utilities                      Missing
Rent                           Missing
Maintenance                    7300
Salaries                       2020 (Missing)
Café Stock                     10930
S.K                            1760
Diesel                         33000
Others                         5725
Total Expenses                                  (61235)
Net Income                                      110985




Profit & Loss Statement May 2012

                               Debt             Credit
Revenues:
Gross Revenue                                   217295
Expenses:
Mobile                         800
Utilities                      3000 (Missing)
Rent                           Missing
Maintenance                    4450
Salaries                       1200 (Missing)
Café Stock                     8280
S.K                            5700
Diesel                         46500
Others                         3605
Total Expenses                                  (73535)
Net Income                                      143760
Profit & Loss Statement June 2012

                               Debt             Credit
Revenues:
Gross Revenue                                   231365
Expenses:
Mobile                         700
Utilities                      (Missing)
Rent                           435 (Missing)
Maintenance                    10090
Salaries                       1170 (Missing)
Café Stock                     6917
S.K                            3350
Diesel                         36650
Others                         8945
Total Expenses                                  (68257)
Net Income                                      163108

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Profit

  • 1. Profit & Loss Statement April 2012 Debt Credit Revenues: Gross Revenue 172220 Expenses: Mobile 500 Utilities Missing Rent Missing Maintenance 7300 Salaries 2020 (Missing) Café Stock 10930 S.K 1760 Diesel 33000 Others 5725 Total Expenses (61235) Net Income 110985 Profit & Loss Statement May 2012 Debt Credit Revenues: Gross Revenue 217295 Expenses: Mobile 800 Utilities 3000 (Missing) Rent Missing Maintenance 4450 Salaries 1200 (Missing) Café Stock 8280 S.K 5700 Diesel 46500 Others 3605 Total Expenses (73535) Net Income 143760
  • 2. Profit & Loss Statement June 2012 Debt Credit Revenues: Gross Revenue 231365 Expenses: Mobile 700 Utilities (Missing) Rent 435 (Missing) Maintenance 10090 Salaries 1170 (Missing) Café Stock 6917 S.K 3350 Diesel 36650 Others 8945 Total Expenses (68257) Net Income 163108