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Gold Disk Spreadsheet | 1991-12-12 | 18.9 KB | 43 lines |
- CASH FLOW PROJECTIONS 19___
- CASH - BALANCE FORWARD
- CASH IN:
- Fee Income (Schedule 1)
- Interest Income
- Misc. Income
- Misc. Cash Inflow
- TOTAL CASH IN
- LESS CASH OUT:
- Salaries (Schedule 2)
- Outside Attorney
- Outside Other
- Bonuses
- Pay. Taxes
- Group Insurance
- Rent
- Office Supplies
- Photocopy Supplies
- Postage
- Equip. Maintenance
- Telephone
- Library Sub/Service
- Client Development
- Travel & Enter.
- Automobile Expense
- Dues, Memberships
- CLE Expense
- Insurance
- Contributions
- Taxes & Licenses
- Miscellaneous Exp.
- Interest Expense
- Office Maintenance
- TOTAL EXPENSES
- NET CASH AFTER EXPENSES
- Contracts Payable
- Capital Expenditures
- Miscellaneous Cash Out
- Miscellaneous Cash Out
- NET CASH BEFORE DRAWS
- Draws
- NET CASH
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