Financial Balance Sheet
Summary as of 05 Mar, 2026
Bandhan Motors
(New) Kamalgonj, Moulvibazar
Statement Date: 05-03-2026
Current Assets
Bike Stock Value (Cost)
৳0.00
Accounts Receivable (Dues)
৳21,026.67
Bank Account Balance
৳2,000.00
Cash in Hand
৳879,250.66
Total Assets
৳902,277.33
Equity & Liabilities
Partner Capital (Total Investment)
৳75,000.00
Retained Earnings (Net Profit)
৳827,277.33
Total Equity & Liabilities
৳902,277.33
Cash Flow Summary
Bike Sales Income:616,395.33
EMI Collections:265,355.33
Parts Sales Income (+):0.00
Other Collections:0.00
Expenses & Bank Deposits (-):2,500.00
Accounts Manager
Proprietor Signature