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Estado de Resultado

Período del 1 de diciembre al 31 de marzo


(en balboas)
ingresos
ventas netas B/. 88,882.00
menos: costo de venta
inventario inicial B/. 19,759.40
mas: compras netas B/. 28,759.40
costo de mercancia disponible para la venta
B/. 48,518.80
menos: inventario final B/. 30,500.00
costo de venta B/. 18,018.80
margen de utilidad sobre venta B/. 70,863.20
menos: gastos
salarios B/. 27,200.00
impuestos B/. 3,116.01
gastos fijos B/. 4,720.00
luz B/. 800.00
agua B/. 365.00
otros gastos B/. 525.00
total de gastos B/. 36,726.01
utilidad antes del ISR B/. 34,137.19
impuesto sobre la renta 25% B/. 8,534.30
utilidad neta B/. 25,602.89
Flujo de Caja Proyectado
diciembre enero febrero marzo
saldo inicial B/. - B/. 83,364.81 B/. 92,326.83 B/. 111,538.85
Ingresos:
aporte socios B/. 50,000.00 B/. - B/. - B/. -
cuentas por cobrar B/. - B/. 1,800.00 B/. 6,420.00 B/. 2,250.00
ventas B/. 5,000.00 B/. 6,000.00 B/. 7,500.00 B/. 1,000.00
servicios B/. 15,500.00 B/. 18,600.00 B/. 20,460.00 B/. 14,322.00
prestamos B/. 50,000.00 B/. - B/. - B/. -
otros ingresos B/. - B/. - B/. 500.00 B/. -
total de ingresos B/. 120,500.00 B/. 26,400.00 B/. 34,880.00 B/. 17,572.00

Egresos:
salarios B/. 5,000.00 B/. 6,500.00 B/. 7,850.00 B/. 7,850.00
compras B/. 28,759.40 B/. 8,000.00 B/. 5,000.00 B/. 3,000.00
impuestos B/. 1,996.01 B/. 560.00 B/. 350.00 B/. 210.00
pago de prestamo B/. - B/. 455.20 B/. 455.20 B/. 910.40
cuentas por pagar B/. - B/. 277.78 B/. 277.78 B/. 555.56
gastos fijos B/. 1,180.00 B/. 1,180.00 B/. 1,180.00 B/. 1,180.00
luz B/. 200.00 B/. 200.00 B/. 210.00 B/. 190.00
agua B/. 90.00 B/. 90.00 B/. 95.00 B/. 90.00
otros egresos B/. - B/. 175.00 B/. 250.00 B/. 100.00
total egresos B/. 37,135.19 B/. 17,437.98 B/. 15,667.98 B/. 14,085.96

flujo de caja B/. 83,364.81 B/. 8,962.02 B/. 19,212.02 B/. 3,486.04

saldo de cierre B/. 83,364.81 B/. 92,326.83 B/. 111,538.85 B/. 115,024.89

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