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Expense Summary for Athimale by muhammadfaizanarif11 is a document available to read on EtoBox.

The expense sheet details cash inflow and outflow for a specific date, showing a total cash in of 36,075 and total expenses of 34,417. The remaining cash after expenses is 1,658. Various expenses are attributed to staff food and individual riders.

Author
muhammadfaizanarif11
Language
EN