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Schedule of Cash Payments for a Service Com stark Pinance Inc. was organized on February 21. Propected selling and amunistrative expenses for each of the

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Schedule of Cash Payments for a Service Com stark Pinance Inc. was organized on February 21. Propected selling and amunistrative expenses for each of the fint three months operations are as follows: March 512800 261.600 May 147.100 Deprecation, mourance and property taxes represent $7.000 the estimated monthly expenses. The promuns pad on February 20, and property taxes for the year will be postin e of the remainder of the open we expected to be paid in the month in which they are curred with the balance to be paid in the following month Prepare a se indicating Chatents to sing and drive gestoroch orond May Fatmark Financial Inc Schedule of Cash Payments for Selling and Administrative Expenses For the Three Months Ending May 3 March April May Paid Mords Panor TA Men Il This

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