Finance & Accounts

June 2026 · cycle closes in 2 days

Financial Overview

P&L, cash position, GST, and franchise royalty reconciliation.

Revenue MTD
₹4.82Cr
+12%
Profit Margin
28.4%
+2.1%
Cash on Hand
₹1.84Cr

Profit & Loss

Revenue₹4,82,910
COGS−₹2,18,400
Gross Profit₹2,64,510
Salaries−₹84,200
Rent & Utilities−₹42,800
Marketing−₹18,400
Operating Profit₹1,19,110
Royalty Earned+₹38,400
Net Profit₹1,37,510

Cash & GST

₹1.84Cr
+₹24L this month
₹38.2K
Due 20 Jul
₹62K
4 invoices open