Please fill in balance sheet. thank you!
BALANCE SHEET Assets Cash & Equivalents Short Term investments Cash and Short Term Investments Year Ending Aug 2020 Year Ending Sep 2019 $12,277 $8.384 $1,028 $1,000 13,305 $9.444 $1,550 $1,535 $11,395 $1,023 $1,111 $23,485 Liabilities & Shareholders' Equity Yearthing Aug 200 Year 2013 Accounts Payable Accrued Expenses SIL 55.225 Notes Payable/Short Term Debt 54356 50 50 Current Port of LT Debt/Capital leases $126 5175 Other Current liabilities. To 55,312 $5,479 --- Total Receivables, Net Total Inventory Other Current Assets, Total Total Current Assets Total Current abilities 52. $121 54257 Total Long Term Debt Other liabilities, Total Total abilities $3803 -$12,896 $25,187 Property/Plant/Equipment, Total - Gross Accumulated Depreciation, Total Property/Plant/Equipment, Total - Net $32,626 $11,736 $20,890 54515 $1.001 $30,153 Goodwill, Net Intangibles, Net $983 523 Common Stock, TOM Additional Paid in Capital Retained Earnings (Accumulated Defior) Other Equity, Total Total Equity 54 4,685 $12.09 -51228 54 56.417 $10,258 -51.43 $15.24 $1,047 Other Long Term Assets, Total Total Assets 31.025 $45,400 Total abilities & Shareholders' Equity SAS Total Common Shares Outstanding 541 5410 Full-Time Employees Part Time Employees Number Common Shareholders Selling Space,Square Meters (Net) Average Store Size Square Meter) Number of Stores opened Number of Stores Closed Number of Stores, End of Period $15.000 $119.000 $9.00 $10.285,00 $13,50 su $3 5795 51100 $10.000 99.115 $1,350 3115 $30 BALANCE SHEET Assets Cash & Equivalents Short Term investments Cash and Short Term Investments Year Ending Aug 2020 Year Ending Sep 2019 $12,277 $8.384 $1,028 $1,000 13,305 $9.444 $1,550 $1,535 $11,395 $1,023 $1,111 $23,485 Liabilities & Shareholders' Equity Yearthing Aug 200 Year 2013 Accounts Payable Accrued Expenses SIL 55.225 Notes Payable/Short Term Debt 54356 50 50 Current Port of LT Debt/Capital leases $126 5175 Other Current liabilities. To 55,312 $5,479 --- Total Receivables, Net Total Inventory Other Current Assets, Total Total Current Assets Total Current abilities 52. $121 54257 Total Long Term Debt Other liabilities, Total Total abilities $3803 -$12,896 $25,187 Property/Plant/Equipment, Total - Gross Accumulated Depreciation, Total Property/Plant/Equipment, Total - Net $32,626 $11,736 $20,890 54515 $1.001 $30,153 Goodwill, Net Intangibles, Net $983 523 Common Stock, TOM Additional Paid in Capital Retained Earnings (Accumulated Defior) Other Equity, Total Total Equity 54 4,685 $12.09 -51228 54 56.417 $10,258 -51.43 $15.24 $1,047 Other Long Term Assets, Total Total Assets 31.025 $45,400 Total abilities & Shareholders' Equity SAS Total Common Shares Outstanding 541 5410 Full-Time Employees Part Time Employees Number Common Shareholders Selling Space,Square Meters (Net) Average Store Size Square Meter) Number of Stores opened Number of Stores Closed Number of Stores, End of Period $15.000 $119.000 $9.00 $10.285,00 $13,50 su $3 5795 51100 $10.000 99.115 $1,350 3115 $30