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About this document

2019年3月资金流水报告 by dmx114514 is a document available to read on EtoBox.

The document presents a financial summary for March 2019, detailing daily cash flows including sales receipts, payments for materials, salaries, and other expenses. It shows the initial balance, total receipts, total expenditures, and the ending balance for each day of the month. Notably, most days have no transactions recorded after March 3rd.

Author
dmx114514
Language
EN