1934 Harry Johnson's new and improved Bartenders' Manual
3,116.70 ' »
81.16
per
2 118.25
2,287.90
2,789.90
2,530.35
2,651.00
2,295.75
2,046.50
2,008.60
2,423.10
2,431.13
.2,807.65
$2,133.80
Net Profit Month.
»29r209.50
130.00
Exp.
Paid.
4,100.00
4,000.00
4,063.40
3,900.00
3,800.00
3,779.20
3,960.40
3,797.00
3,837.70
3,888.00
3,974.30
3,900.00
Daily
$3,700.00
^6,800.00
40.00
1,300.00 900.00
1,500.00 800.00
1,100.00
r,150.00
1,250.00
1,200.00
1,225.00
1,700.00
Booms Cash.
1,100.00
1,200.00
$1,175.00
$14,400.00
25.00
750.00
775.00
765.00
700.00
725.00
775.00
730.00
770.00
736.00
650.00
800.00
825.00
Paid.
Ciflrar
Stock
$750.00
$9,000.00
38.18
1,049.00
Cash.
1,145.33
1,140.00
1,155.00
1,145.00
1,112.00
1,037.55
1,150.00
1,107.00
1,259.00
1,242.45
1,187.00
Cigars
$1,160.00
$13,744.00
79.86
Paid,
2,552.25
2,895.91
2,000.00
2,071.60
ResVt
Stock
2,247.50
2,604.25
2,296.65
2,582.35
2,196.00
2,728.40
2,351.00
2,321.00
$2,800.00
$28,751.00
155.00
4,596.85
4,550.55
4,749.45
4,650.00
4,625.00
4,517.00
4,881,00
Cash.
4,600.00
4,725.00
4,783.00
4,419.00
4,650.00
ResVt
$4,703.15
$55,800.00
62,17
Bar
Paid.
1,864.00
1,724.00
1,704.50
1,664.50
1,741.30
1,997.70
1,969.50
1,854,00
1,866.29
2,024.50
2,064.50
1,769.50
Stoch
$2,005.50
$22,383.50
145.00
This Isa Yearly Trial Balance Sheet, which shows, from the different departments, the Entire Cash Receipts by the Year, Month and Day; as well as the Expenditures from the different departments In connection with Daily Expenses. Total Cash for 12 Months. Bar Cash. January February, March 111,389.30 11,340.00 11,176.85 11,395.00 11,308.15 11,385.85 11,311.40 11,365.65 11,308.80 10,948.55 11,183.45 12,031.00 $4,351.15 4,350.00 4,200.00 4,500.00 4,226.15 4,473.85 4,348.85 4,667.20 4,032.80 4,328.00 4,422.00 4,300.00 April May June July August September October November December P fPerYear.. [Per Day... $136,144.00 1,346:B3 378.18 $52,200.00 4,350.00
g-j Per Month
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