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CASH FLOW STATEMENT

Cash beginning ₹0
Cash in
Share capital ₹200,000
Cash out
Material supply ₹20,000
Cash end ₹180,000

BALANCE SHEET END OF THE MONTH


ASSETS LIABILITIES & EQUITY
Inventory ₹20,000 Share capital
Cash ₹180,000 Total liabilities &
Total assets ₹200,000 equity
ITIES & EQUITY
₹200,000

₹200,000
PRODUCTION COST PER PIECE OF CHOCOLATE
Material cost ₹25
Water & electricity ₹15
Total $40

INCOME STATEMENT
Sales revenue ₹40,000
- Cost of goods sold ₹16,000
- Machine rental cost ₹5,000
- Advertising cost ₹8,000
Monthly profit ₹11,000

BALANCE SHEET END OF THE MONTH


ASSETS
Inventory ₹10,000
Cash ₹201,000
Total assets ₹211,000
CASH FLOW STATEMENT
Cash beginning ₹180,000
Cash in
Sales in cash ₹40,000
Cash out
Water & electricity ₹6,000
Machine rental cost ₹5,000
Advertising cost ₹8,000
Cash end ₹201,000

ET END OF THE MONTH


LIABILITIES & EQUITY
Share capital ₹200,000
Profit for the month ₹11,000
Total liabilities & equity ₹211,000

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