Consolidated Cashflow Spreadsheet
Consolidated Cashflow Spreadsheet
Consolidated Cashflow Spreadsheet
GENERAL
REPORTS
Inputs Used:
Start Shift / End Shift = {Typically use a
range of shifts that represent a month}
Example:
This example shows the Daily Report section
of the Cash Flow Spreadsheet for a single month. By choosing a
shift or date range, the report prints financial information as
individual lines for each shift or day as well as a total for the
period selected.
COMPUPAWN DEMO
02/02/95
PAGE
11/01
208.62
612.00
1,137.00
640.40
7.00
907.08
2,964.24
323.92
3,288.16
271.52
1,564.69
-310.14
2.00B
2,287.32
11/02
224.00
975.00
830.00
385.80
3.50
455.00
1,157.97
30.50
1,188.47
98.25
5,653.31
532.22
268.64
590.37
11/03
63.00
1,125.00
1,858.00
965.80
3.50
815.48
1,637.95
337.49
1,975.44
163.23
2,070.81
218.03
927.97
1,354.50
11/04
483.00
355.00
2,243.00
1,214.60
-344.93
2,137.38
1,028.61
3,165.99
265.54
3,484.49
-56.14
-125.00
1,603.00
11/05
800.00
1,460.00
353.00
317.20
849.76
1,170.91
29.50
1,200.41
99.20
5,876.68
22.98
4,264.55
832.95
11/07
1,323.00
1,086.00
845.00
785.50
3.50
263.00
1,670.58
120.74
1,791.32
147.97
1,956.29
1,283.72
1,146.50
4,763.51
1,310.32
11/08
822.47
1,190.00
417.00
389.20
176.59
1,510.29
108.50
1,618.79
133.74
821.75 -2,521.34
2,841.92
1,048.08
3,924.09
6,803.00
7,683.00
4,698.50
17.50
3,121.98 12,249.32
1,979.26 14,228.58
1,179.45 21,428.02
-830.67
2.00B
1,021.50
13,066.59
9,026.54
BEGINNING BALANCE:
11/01
11/02
11/03
11/04
11/05
11/07
11/08
CASH
ON HAND
============
9,805.54
13,981.53
9,558.02
11,862.63
14,140.48
8,800.39
6,987.67
9,410.11
INVENTORY
============
476,702.03
474,621.33
474,523.60
474,160.07
472,915.07
477,146.67
483,069.36
485,685.67
PAWN
RECEIVABLE
============
81,922.30
81,397.30
81,542.30
80,809.30
79,046.30
80,153.30
79,247.80
80,020.80
BANK DEPOSITS
TYPE
AMOUNT
========== ==========
CASH
21,428.02
CASH OVER/SHORT
HUNTING LICENSE MONEY
BANK CHARGES
N/P STOCKHOLDER
JEWELRY SUPPLY & REPAIR
COST OF SALES
INVENTORY RECEIVINGS
CASH DRAWER EXCHANGE
AMOUNT
==========
12,805.60
STORE NO.
=========
RECEIVINGS
M5C9Page 3
Inputs Used:
Start Shift / End Shift = {Typically use a
range of shifts that represent a month}
Example:
This is an example of the Management Report
which list a great deal of information regarding the cash flow of
your business. The Management Report is separated into
different segments that pertain to a specific area of your business. Significant financial calculations, percentages, and ratios
are reported for each segment reported.
COMPUPAWN DEMO
MANAGEMENT REPORT - NOVEMBER 8
PAGE 2
FROM 11/01/94 TO 11/08/94 PROJECTIONS BASED ON 7 DAYS OUT OF 26 WORKING DAYS THIS MONTH
INCOME SUMMARY
DAY
MONTH
INCOME PROJECTION
SALES ANALYSIS
DAY
MONTH
%
CASH OVER AND SHORT
MONTH
TOTAL SALES
1,510.29
13,828.48
51,362.93
139.67 %
TAXABLE SALES
1,510.29
13,878.48 100.36 %
CASH OVER/SHORT - MTD
0.00
1,048.08
9,026.54
33,527.15
91.17 %
TAX EXEMPT SALES
0.00
-50.00
-0.36 %
MAX OVER/SHORT IN BALANCE
10.00
LESS COST OF SALES
IN-BALANCE FREQUENCY
100.00 %
GROSS PROFIT ON SALES
462.21 30.60 %
4,801.94 34.73 %
17,835.78
48.50 %
TOTAL SALES
1,510.29
13,828.48 100.00 %
TOTAL REPAIRS
108.50
400.10
1,486.09
4.04 %
SERVICE/LATE CHARGES
389.20
4,698.50
17,451.57
47.46 %
TAXABLE REPAIRS
108.50
400.10 100.00 %
PROJECTIONS
MONTH
0.00
0.00
0.00 %
TRANSACTIONS PER MONTH
2,195
CHECK/OTHER CHARGES
0.00
0.00
0.00
0.00 %
NONTAXABLE REPAIRS
LAYAWAY FORFEITURES
0.00
0.00
0.00
0.00 %
TOTAL REPAIRS
108.50
400.10 100.00 %
TOTAL GROSS PROFIT
959.91
9,900.54
36,773.43
100.00 %
==========
==========
==========
========
AVERAGE DISCOUNT
17.15 %
16.81 %
02/02/95
ENDING BALANCE
M5C9Page 4
QTY
1,754
18
DAY
79,247.80
1,190.00
QTY
1,841
119
MONTH
81,922.30
6,803.00
-9
0
0
-417.00
0.00
0.00
-169
-28
0
-7,683.00
-1,021.50
0.00
1,763
=======
80,020.80
==========
1,763
=======
80,020.80
==========
QTY
0
0
DAY
7,635.76
0.00
176.59
0.00
0.00
-13
0
MONTH
4,690.37
2,955.01
1,017.18
-850.21
0.00
60
=======
7,812.35
==========
60
=======
7,812.35
==========
QTY
DAY
483,069.36
822.47
2,841.92
0.00
0.00
0.00
0.00
-1,048.08
0.00
0.00
QTY
MONTH
476,702.03
3,924.09
12,805.60
1,021.50
0.00
0.00
260.99
-9,026.54
-2.00
0.00
60
0
485,685.67
==========
QTY
51
22
16
485,685.67
==========
PAWN ANALYSIS
DAY
AVERAGE PAWN AMOUNT
66.11
AVERAGE PAWN AMOUNT - SUMMARY
CHANGE IN PAWN BALANCE - DOLLARS
CHANGE IN PAWN BALANCE - PER CENT
MONTH
57.17
45.39
-1,901.50
0.19 %
QTY
54.14%
AMOUNT
48.48 %
32.58 %
67.42 %
RENEWAL RATIO
ESTIMATED FORFEITURE RATE
ESTIMATED REDEMPTION RATE
LAYAWAY
LAYAWAY
LAYAWAY
LAYAWAY
ANALYSIS
SALES CREATED
SALES REDEEMED
PERCENT OF NET SALES
INVENTORY ANALYSIS
CHANGE IN INVENTORY MTD - DOLLARS
CHANGE IN INVENTORY MTD - PER CENT
INVENTORY TO (INV. + PAWN) RATIO
PAWNS TO (INV. + PAWN) RATIO
PROJECTED ANNUAL INVENTORY TURNS
DAY
0.00
0.00
0.00 %
MONTH
5,131.48
1,579.16
11.42 %
8,983.64
1.88 %
85.85 %
14.15 %
0.84
DAY
0.00
0.00
0.00
0.00
0.00
MONTH
0.00
0.00
0.00
0.00
0.00
0.00
==========
0.00
==========
DAY
-894.92
0.00
0.00
0.00
MONTH
-894.92
0.00
0.00
0.00
ENDING BALANCE
-894.92
=======
-894.92
=======
ENDING BALANCE
MONTHLY PYMTS
CASH
CHECK
CREDIT CARD
CASH
13,933.62
3,069.74
4,029.23
21,032.59
NON-CASH
BANK DEP
21,428.02
0.00
21,428.02