Total expense flexible budget for the Month Ended April actual results is £26,760 Total budget inventory for June 30 is £145,860 Projected selling expenses quarter is £114,941 Projected expenses quarter is £44,400 Total cash receipts from customer to be collected quarter is £799,945 Expected cash payments to suppliers is £491,790 Total Assets is £ 828,400 Total liabilities and equity is £828,440 Total Actual profit is £41,970
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