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Cash flow

Money in and out by month, July to September

Net cash by month

Net cash by month
Month Net cash
Jul −$719
Aug $4,059
Sep $1,110
Cash flow by month
Actions Jul Aug Sep Quarter
Sales received $260,722.61 $274,161.92 $260,115.67 $795,000.20
Other income $4,855.85 $4,855.85 $4,855.85 $14,567.55
Paid to suppliers −$92,556.53 −$97,327.48 −$92,341.06 −$282,225.07
Wages and salaries −$85,029.75 −$85,029.75 −$82,867.50 −$252,927.00
Rent, utilities and other costs −$39,461.17 −$39,151.17 −$39,402.60 −$118,014.94
Equipment bought - −$4,200.00 - −$4,200.00
Loan repayments −$1,250.00 −$1,250.00 −$1,250.00 −$3,750.00
Owner's draws −$48,000.00 −$48,000.00 −$48,000.00 −$144,000.00
Net change in cash −$718.99 $4,059.37 $1,110.36 $4,450.74