Page 45 - ISABS Annual Report 2021(1)
P. 45

Total Net Cash flow for the period is Rs 2,522,299/-























                                PROGRAMME                     NET CASH FLOW
                                 National Event                  239,938.00
                                 Consultancy                     246,250.00

                                    ODCP                        2,036,111.00
                              Total Net Cash Flow               2,522,299.00


                       Management Consultancy 2021


                                           Consultancy Assignments Income & Expense Account
                              Assignments               Income             Expenditure             Surplus
                                IIM Trichy             500000.00            348000.00              152000.00
                                  CRY                  67500.00              56250.00               11250.00
                             Nirma University          275000.00            192000.00               83000.00
                             Net Cash Inflow           842500.00            596250.00              246250.00

                       Resurgence 2021


                            RESURGENCE 2021 INCOME &  EXPENSE STATEMENT
                        INCOME (Programme Fee)                                Amount
                        ECHO I Self/Social                               ₹ 514,500.00
                        ECHO I Corporate                                 ₹ 225,000.00
                        ECHO IISelf/Social                                ₹ 94,500.00







             www.isabs.org                                                                                        43
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