Cash flow from operation
, accounts receivable, accounts payable, the 302 807.33
51 413.50
25, VAT, sales, 730.50
369 078.50 advertising 15 000.00
2, electricity, water supply, 500.00
2 100.00 postage. 2 000.00
, miscellaneous charges, 3, 450.00 621 152.33
------------
.Cash from investing activities
. Cash from financing activities 0.00
. 0.00
net cash increase (decrease), 621 152.33
cash at the 31 Jul 2551 500 000.00
, ---------- cash at the 10 Nov 2551. ,, 1 121 152.33
.
การแปล กรุณารอสักครู่..
