Page 38 - Annual Report 2020
P. 38
From the Desk of Treasurer
J M Radhakrishnan
FINANCIAL REPORT
Submitted all returns in due time
Income Tax Return FY 19-20
GST Return FY 19-20
TDS Return FY 19-20
Comply all Statutory Compliances in due time
Submitted Audit report to I. Tax Department
Submitted Audited Balance Sheet to I. Tax Department
Submitted Audited Balance Sheet to The Bombay Public Trust
ISABS NET CASH FLOW FOR THE PERIOD
APRIL 2020 TO JANUARY 2021
Net cash flow of an organization
represents the sum over a period of
the total money received (inflow) and
less the total amount of money spent
NATIONAL
(outflow) by the Organization over EVENT , 634674,
ODCP,
the same period. It is an important 763293.00, 50% 41%
measure of an Organization ability to
survive grow.
Total Net Cash flow for the period is
CONSULTANCY,
Rs 15,30,667/- 132700.00, 9%
NATIONAL EVENT CONSULTANCY ODCP
www.isabs.org 37