Profit and Loss Statement

For the period: to
Revenue:
Total Sales
24220
(-) Discounts
0
(-) Returns
5,196.12
Net Revenue
19,023.88
Cost of Goods Sold:
Total COGS
18,345.36
Gross Profit
678.52
Operating Expenses:
(5-2-3-1) Electricity
17020 db
(5-2-3-2) PTCL & Internet Bill
9290 db
(5-29) Food Expenses
500 db
(5-30) Bike/Fuel/Repairing Exp.
150 db
(5-35) Lab Exp.
550 db
(5-36) Shop Expenses
350 db
Total Expenses
27860
Net Profit
-27,181.48