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Financial Management

i)Collection of cash: Cash from all the booths is collected by a cashier appointed for the purpose. Money collected from all the booths along with details of daily sale are verified by a Manager (a special educator has been designated for this purpose). The money is then deposited in the bank on daily basis.

ii) Purchase of fruits and other material: The demand is raised by the parents working at different booths. The purchase committee makes a consolidated list of requirement and makes purchases. The supply is delivered to different booths early in the morning.

iii) Statement of accounts and calculation of profit: The manager calculates the total income as well as total expenditure on the last date of each month. The bill is verified by the Chairman and audited by the Charted Accountant. The parents and children are paid their salary through cheques.

 

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