cuadre daniela.xlsx

2121
Gallery Computer, c.a Fecha:01-04-09 Ventas 1: Luis portillo billetes cantidad total 1.00 0.00 0.00 2.00 0.00 0.00 5.00 0.00 0.00 10.00 0.00 0.00 20.00 0.00 0.00 50.00 0.00 0.00 100.00 0.00 0.00 EFECTIVO 0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO 0.00 DEPOSITOS 0.00 TOTAL ENTREGADO 0.00 REPORTE SISTEMA 0.00 SOBRANTE / FALTANTE 0.00 ventas 2: Evelin cañas billetes cantidad total 1.00 0.00 0.00 2.00 0.00 0.00 5.00 0.00 0.00 10.00 0.00 0.00 20.00 0.00 0.00 50.00 0.00 0.00 100.00 0.00 0.00 EFECTIVO 0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO 0.00 DEPOSITOS 0.00 TOTAL ENTREGADO 0.00 REPORTE SISTEMA 0.00 SOBRANTE / FALTANTE 0.00

Transcript of cuadre daniela.xlsx

Page 1: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:01-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 2: Evelin cañasbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 12.00 60.00

10.00 6.00 60.00

20.00 109.00 2,180.00

50.00 26.00 1,300.00

100.00 1.00 100.00

EFECTIVO 3,700.00

CHEQUE 2,986.00DEBITOS Y/O CREDITO 2,364.00

DEPOSITOS 0.00

TOTAL ENTREGADO 9,050.00REPORTE SISTEMA 9,051.98SOBRANTE / FALTANTE -1.98

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 5.00 50.00

20.00 16.00 320.00

50.00 26.00 1,300.00

100.00 8.00 800.00

EFECTIVO 2,470.00

CHEQUE 0.00DEBITOS Y/O CREDITO 407.55

DEPOSITOS 0.00

TOTAL ENTREGADO 2,877.55REPORTE SISTEMA 2,876.34SOBRANTE / FALTANTE 1.21

TOTAL EN VENTASbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 7.00 35.00

10.00 1.00 10.00

20.00 25.00 500.00

50.00 13.00 650.00

100.00 1.00 100.00

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EFECTIVO 1,297.00

CHEQUE 2,986.00DEBITOS Y/O CREDITO 2,772.54

DEPOSITOS 0.00

TOTAL ENTREGADO 7,055.54REPORTE SISTEMA 7,055.32SOBRANTE / FALTANTE 0.22

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Gallery Computer, c.a

Fecha:02-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 5.00

20.00 12.00

50.00 10.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: GIOVANNI PAEZbilletes cantidad

1.00 0.00

2.00 0.00

5.00 39.00

10.00 57.00

20.00 18.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 7.00

20.00 24.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 43.00

10.00 69.00

20.00 55.00

50.00 19.00

100.00 6.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

EL RESULTADO SOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

10.00 5.00

50.00 10.00

240.00 20.00

500.00 50.00

100.00 100.00

900.00 EFECTIVO

361.00 CHEQUE 32.63 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,293.63 TOTAL ENTREGADO

1,293.00 REPORTE SISTEMA0.63 ,, SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

20.00 20.00

50.00 50.00

400.00 100.00

475.00 EFECTIVO

1,532.00 CHEQUE 1,235.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,242.99 TOTAL ENTREGADO

3,242.99 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

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ventas 3:total billetes0.00 1.00

0.00 2.00

195.00 5.00

570.00 10.00

360.00 20.00

150.00 50.00

0.00 100.00

1,275.00 EFECTIVO

4,963.00 CHEQUE 1,321.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,559.00 TOTAL ENTREGADO7,551.03 REPORTE SISTEMA

7.97 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

2.00 2.00

5.00 5.00

70.00 10.00

480.00 20.00

250.00 50.00

100.00 100.00

907.00 EFECTIVO

0.00 CHEQUE 203.01 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,110.01 TOTAL ENTREGADO1,109.01 REPORTE SISTEMA

1.00 SOBRANTE / FALTANTE

VENTAS TOTALtotal billetes0.00 1.00

2.00 2.00

215.00 5.00

690.00 10.00

1,100.00 20.00

950.00 50.00

600.00 100.00

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3,557.00 EFECTIVO

6,856.00 CHEQUE 2,792.63 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

13,205.63 TOTAL ENTREGADO13,196.03 REPORTE SISTEMA

9.60 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:03-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

2.00 20.00

13.00 260.00

0.00 0.00

0.00 0.00

280.00

0.000.00

83.00

363.00

359.993.01

Evelin cañascantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

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Giovanny paezcantidad total

2.00 2.00

0.00

1.00 5.00

2.00 20.00

2.00 40.00

34.00 1,700.00

16.00 1,600.00

3,367.00

191.002,294.00

0.00

5,852.005,851.99

0.01

Taller 1cantidad total

0.00 0.00

2.00 4.00

0.00 0.00

1.00 10.00

0.00 0.00

9.00 450.00

2.00 200.00

664.00

0.000.000.00

664.00664.20

-0.20

cantidad total1.00 1.00

2.00 4.00

1.00 5.00

4.00 40.00

15.00 300.00

43.00 2,150.00

18.00 1,800.00

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4,300.00

0.002,377.00191.00

6,868.006,864.98

3.02

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Gallery Computer, c.a

Fecha:04-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 148.00 7,400.00

100.00 1.00 100.00

EFECTIVO 7,530.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,072.00

DEPOSITOS 0.00

TOTAL ENTREGADO 9,602.00

REPORTE SISTEMA 9,601.97SOBRANTE / FALTANTE 0.03

ventas 2: Evelin cañasbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 4.00 20.00

10.00 38.00 380.00

20.00 42.00 840.00

50.00 66.00 3,300.00

100.00 31.00 3,100.00

EFECTIVO 7,640.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,623.00

DEPOSITOS 0.00

TOTAL ENTREGADO 9,263.00REPORTE SISTEMA 9,262.98SOBRANTE / FALTANTE 0.02

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 15.00 150.00

20.00 20.00 400.00

50.00 8.00 400.00

100.00 4.00 400.00

EFECTIVO 1,355.00

CHEQUE 0.00DEBITOS Y/O CREDITO 462.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,817.00REPORTE SISTEMA 1,789.00SOBRANTE / FALTANTE 28.00

VENTAS TOTALbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 7.00 35.00

10.00 50.00 500.00

20.00 63.00 1,260.00

50.00 222.00 11,100.00

100.00 36.00 3,600.00

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EFECTIVO 16,497.00

CHEQUE 0.00DEBITOS Y/O CREDITO 4,157.00

DEPOSITOS 0.00

TOTAL ENTREGADO 20,654.00REPORTE SISTEMA 20,653.95SOBRANTE / FALTANTE 0.05

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Gallery Computer, c.a

Fecha:06-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 3.00

2.00 1.00

5.00 3.00

10.00 15.00

20.00 19.00

50.00 44.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 1.00

20.00 2.00

50.00 41.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 1.00

5.00 2.00

10.00 2.00

20.00 80.00

50.00 14.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 0.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 5.00

10.00 22.00

20.00 100.00

50.00 101.00

100.00 12.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

3.00 1.00

2.00 2.00

15.00 5.00

150.00 10.00

380.00 20.00

2,200.00 50.00

400.00 100.00

3,150.00 EFECTIVO

0.00 CHEQUE 408.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,558.00 TOTAL ENTREGADO

3,557.01 REPORTE SISTEMA0.99 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

2.00 2.00

5.00 5.00

10.00 10.00

40.00 20.00

2,050.00 50.00

900.00 100.00

3,007.00 EFECTIVO

0.00 CHEQUE 399.04 DEBITOS Y/O CREDITO

1,879.00 CREDI FACIL DEPOSITOS

5,285.04 TOTAL ENTREGADO

5,284.05 REPORTE SISTEMA0.99 SOBRANTE / FALTANTE

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ventas 3:total billetes1.00 1.00

2.00 2.00

10.00 5.00

20.00 10.00

1,600.00 20.00

700.00 50.00

0.00 100.00

2,333.00 EFECTIVO

0.00 CHEQUE 4,082.92 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,415.92 TOTAL ENTREGADO6,414.94 REPORTE SISTEMA

0.98 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

0.00 20.00

200.00 50.00

0.00 100.00

205.00 EFECTIVO

0.00 CHEQUE 2,207.02 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,412.02 TOTAL ENTREGADO2,415.00 REPORTE SISTEMA

-2.98 SOBRANTE / FALTANTE

TOTAL EN VENTAStotal billetes1.00 1.00

2.00 2.00

25.00 5.00

220.00 10.00

2,000.00 20.00

5,050.00 50.00

1,200.00 100.00

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8,498.00 EFECTIVO

1,879.00 CREDIFACIL CHEQUE 7,096.98 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

17,473.98 TOTAL ENTREGADO17,471.00 REPORTE SISTEMA

2.98 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:07-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

30.00 600.00

10.00 500.00

0.00 0.00

1,100.00

0.001,812.00

0.00

2,912.00

2,909.982.02

Evelin cañascantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

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Giovanny paezcantidad total

0.00 0.00

3.00 6.00

9.00 45.00

4.00 40.00

17.00 340.00

35.00 1,750.00

1.00 100.00

2,281.00

5,507.003,848.03

0.00

11,636.0311,636.00

0.03

Taller 1cantidad total

0.00 0.00

0.00 0.00

2.00 10.00

3.00 30.00

23.00 460.00

9.00 450.00

1.00 100.00

1,050.00

0.00489.00

5,646.61

7,185.617,185.51

0.10

cantidad total0.00 0.00

3.00 6.00

11.00 55.00

7.00 70.00

70.00 1,400.00

54.00 2,700.00

2.00 200.00

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4,431.00

5,507.006,148.045,646.61

21,732.6521,731.49

1.16

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Gallery Computer, c.a

Fecha:08-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 3.00 15.00

10.00 200.00 2,000.00

20.00 30.00 600.00

50.00 2.00 100.00

100.00 6.00 600.00

EFECTIVO 3,318.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,318.00

REPORTE SISTEMA 3,318.00SOBRANTE / FALTANTE 0.00

ventas 2: Evelin cañasbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 17.00 170.00

20.00 18.00 360.00

50.00 22.00 1,100.00

100.00 33.00 3,300.00

EFECTIVO 4,939.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,988.97

DEPOSITOS 0.00

TOTAL ENTREGADO 7,927.97REPORTE SISTEMA 7,927.95SOBRANTE / FALTANTE 0.02

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 6.00 60.00

20.00 24.00 480.00

50.00 38.00 1,900.00

100.00 11.00 1,100.00

EFECTIVO 3,545.00

CHEQUE 1,207.00DEBITOS Y/O CREDITO 312.00

DEPOSITOS 742.00

TOTAL ENTREGADO 5,806.00REPORTE SISTEMA 5,806.04SOBRANTE / FALTANTE -0.04

TOTAL EN VENTASbilletes cantidad total

1.00 4.00 4.00

2.00 3.00 6.00

5.00 3.00 15.00

10.00 220.00 2,200.00

20.00 111.00 2,220.00

50.00 62.00 3,100.00

100.00 50.00 5,000.00

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EFECTIVO 12,545.00

CHEQUE 1,207.00DEBITOS Y/O CREDITO 3,300.07

DEPOSITOS 0.00

TOTAL ENTREGADO 17,052.07REPORTE SISTEMA 17,051.99SOBRANTE / FALTANTE 0.08

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Gallery Computer, c.a

Fecha:13-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 9.00

5.00 2.00

10.00 3.00

20.00 7.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 2.00

20.00 13.00

50.00 8.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 5.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 4.00

5.00 3.00

10.00 16.00

20.00 116.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 22.00

20.00 143.00

50.00 17.00

100.00 2.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

18.00 2.00

10.00 5.00

30.00 10.00

140.00 20.00

350.00 50.00

0.00 100.00

548.00 EFECTIVO

0.00 CHEQUE 1,118.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,666.00 TOTAL ENTREGADO

1,666.01 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

2.00 2.00

5.00 5.00

20.00 10.00

260.00 20.00

400.00 50.00

100.00 100.00

788.00 EFECTIVO

6,675.03 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

7,463.03 TOTAL ENTREGADO

7,462.05 REPORTE SISTEMA0.98 SOBRANTE / FALTANTE

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ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

50.00 10.00

100.00 20.00

100.00 50.00

0.00 100.00

250.00 EFECTIVO

300.00 CHEQUE 1,791.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,341.99 TOTAL ENTREGADO2,341.99 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

8.00 2.00

15.00 5.00

160.00 10.00

2,320.00 20.00

50.00 50.00

0.00 100.00

2,553.00 EFECTIVO

0.00 CHEQUE 135.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,688.00 TOTAL ENTREGADO2,688.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAStotal billetes1.00 1.00

2.00 2.00

5.00 5.00

220.00 10.00

2,860.00 20.00

850.00 50.00

200.00 100.00

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4,138.00 EFECTIVO

0.00 CHEQUE 3,044.99 DEBITOS Y/O CREDITO6,975.00 DEPOSITOS

14,157.99 TOTAL ENTREGADO14,158.05 REPORTE SISTEMA

-0.06 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:14-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

7.00 35.00

10.00 100.00

15.00 300.00

12.00 600.00

0.00 0.00

1,035.00

0.007,298.00

0.00

8,333.00

8,332.970.03

Evelin cañascantidad total

0.00 0.00

5.00 10.00

4.00 20.00

1.00 10.00

1.00 20.00

2.00 100.00

0.00 0.00

160.00

0.00274.00120.00 VALE DE GARY

554.00

554.000.00

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Giovanny paezcantidad total

1.00 1.00

1.00 2.00

0.00 0.00

14.00 140.00

66.00 1,320.00

23.00 1,150.00

16.00 1,600.00

4,213.00

0.002,498.02

0.00

6,711.026,710.99

0.03

Taller 1cantidad total

1.00 1.00

1.00 2.00

2.00 10.00

16.00 160.00

5.00 100.00

3.00 150.00

0.00 0.00

423.00

0.000.000.00

423.00423.00

0.00

cantidad total0.00 0.00

0.00 0.00

13.00 65.00

44.00 440.00

90.00 1,800.00

41.00 2,050.00

16.00 1,600.00

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5,955.00

0.000.00

10,070.02

16,025.0216,020.96

4.06

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Gallery Computer, c.a

Fecha:15-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 16.00 320.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 631.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 1,181.00

TOTAL ENTREGADO 1,812.00

REPORTE SISTEMA 1,811.00SOBRANTE / FALTANTE 1.00

ventas 2: Evelin cañasbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 5.00 250.00

100.00 1.00 100.00

EFECTIVO 383.00

CHEQUE 904.93DEBITOS Y/O CREDITO 57.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,344.93

REPORTE SISTEMA 1,344.92SOBRANTE / FALTANTE 0.01

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 8.00 80.00

20.00 7.00 140.00

50.00 7.00 350.00

100.00 0.00 0.00

EFECTIVO 575.00

CHEQUE 540.01DEBITOS Y/O CREDITO 575.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,690.01REPORTE SISTEMA 1,688.05SOBRANTE / FALTANTE 1.96

ventas: 4 Taller 1billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 7.00 70.00

20.00 1.00 20.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 298.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 298.00REPORTE SISTEMA 297.87SOBRANTE / FALTANTE 0.13

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 12.00 120.00

20.00 28.00 560.00

50.00 22.00 1,100.00

100.00 1.00 100.00

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EFECTIVO 1,887.00

CHEQUE 1,444.93DEBITOS Y/O CREDITO 1,813.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,144.93REPORTE SISTEMA 5,141.82SOBRANTE / FALTANTE 3.11

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Gallery Computer, c.a

Fecha:16-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 47.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 434.00

20.00 6.00

50.00 7.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 2.00

5.00

10.00 0.00

20.00 5.00

50.00 16.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 6.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTAS 5: TALLER 2billetes cantidad

1.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 435.00

20.00 65.00

50.00 24.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

940.00 20.00

50.00 50.00

0.00 100.00

1,000.00 EFECTIVO

0.00 CHEQUE 1,089.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,089.00 TOTAL ENTREGADO

2,089.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

4.00 2.00

5.00 5.00

4,340.00 10.00

120.00 20.00

350.00 50.00

100.00 100.00

4,920.00 EFECTIVO

0.00 CHEQUE 4,541.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

9,461.00 TOTAL ENTREGADO

9,461.98 REPORTE SISTEMA-0.98 SOBRANTE / FALTANTE

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ventas 3:total billetes0.00 1.00

4.00 2.00

0.00 5.00

0.00 10.00

100.00 20.00

800.00 50.00

600.00 100.00

1,504.00 EFECTIVO

2,298.96 CHEQUE 1,385.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,187.96 TOTAL ENTREGADO5,186.92 REPORTE SISTEMA

1.04 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

120.00 20.00

0.00 50.00

0.00 100.00

125.00 EFECTIVO

0.00 CHEQUE 886.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,011.00 TOTAL ENTREGADO1,011.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTAS 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

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0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

4,350.00 10.00

1,300.00 20.00

1,200.00 50.00

700.00 100.00

7,550.00 EFECTIVO

2,298.96 CHEQUE 7,901.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

17,749.96 TOTAL ENTREGADO17,748.90 REPORTE SISTEMA

1.06 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:17-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

5.00 50.00

4.00 80.00

6.00 300.00

5.00 500.00

935.00

0.003,648.00

0.00

4,583.00

4,581.941.06

Evelin cañascantidad total

0.00 0.00

1.00 2.00

0.00

104.00 1,040.00

9.00 180.00

10.00 500.00

16.00 1,600.00

3,322.00

0.005,120.00

0.00

8,442.00

8,441.020.98

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Giovanny paezcantidad total

0.00 0.00

0.00 0.00

1.00 5.00

83.00 830.00

8.00 160.00

9.00 450.00

2.00 200.00

1,645.00

4,132.00653.00

0.00

6,430.006,427.00

3.00

Taller 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

6.00 60.00

0.00 0.00

0.00 0.00

2.00 200.00

260.00

0.00145.00

0.00

405.00403.00

2.00 GARY LOS DEBI

TALLER 2cantidad total

1.00 1.00

1.00 2.00

2.00 10.00

1.00 10.00

0.00 0.00

1.00 50.00

0.00 0.00

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73.00

0.00250.00

0.00

323.00322.99

0.01

TOTAL EN VENTAScantidad total

1.00 1.00

1.00 2.00

4.00 20.00

197.00 1,970.00

22.00 440.00

26.00 1,300.00

25.00 2,500.00

6,233.00

4,132.009,816.00

0.00

20,181.0020,175.95

5.05

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Gallery Computer, c.a

Fecha:18-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 14.00 140.00

20.00 10.00 200.00

50.00 0.00 0.00

100.00 2.00 200.00

EFECTIVO 550.00

CHEQUE 2,983.00DEBITOS Y/O CREDITO 1,251.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,784.00

REPORTE SISTEMA 4,784.00SOBRANTE / FALTANTE 0.00

ventas 2: Evelin cañasbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 50.00 250.00

10.00 2.00 20.00

20.00 60.00 1,200.00

50.00 54.00 2,700.00

100.00 0.00 0.00

EFECTIVO 4,170.00

CHEQUE 4,452.00DEBITOS Y/O CREDITO 364.00

DEPOSITOS 0.00

TOTAL ENTREGADO 8,986.00

REPORTE SISTEMA 8,984.97SOBRANTE / FALTANTE 1.03

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 16.00 160.00

20.00 20.00 400.00

50.00 10.00 500.00

100.00 3.00 300.00

EFECTIVO 1,369.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,106.00

DEPOSITOS 0.50

TOTAL ENTREGADO 4,475.50REPORTE SISTEMA 4,475.99SOBRANTE / FALTANTE -0.49

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

VENTAS 5: TALLER 2billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 1.00 50.00

100.00 0.00 0.00

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EFECTIVO 60.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 60.00REPORTE SISTEMA 60.01SOBRANTE / FALTANTE -0.01

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 55.00 275.00

10.00 36.00 360.00

20.00 93.00 1,860.00

50.00 65.00 3,250.00

100.00 4.00 400.00

EFECTIVO 6,149.00

CHEQUE 7,435.00DEBITOS Y/O CREDITO 4,721.00

DEPOSITOS 0.00

TOTAL ENTREGADO 18,305.00REPORTE SISTEMA 18,304.97SOBRANTE / FALTANTE 0.03

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Gallery Computer, c.a

Fecha:20-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 2.00

5.00 6.00

10.00 6.00

20.00 12.00

50.00 19.00

100.00 20.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 16.00

50.00 11.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 6.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 24.00

50.00 11.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 4.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 3.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTAS 5: TALLER 2billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 1.00

50.00 0.00

100.00 1.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 11.00

2.00 3.00

5.00 8.00

10.00 17.00

20.00 55.00

50.00 45.00

100.00 33.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

4.00 2.00

30.00 5.00

60.00 10.00

240.00 20.00

950.00 50.00

2,000.00 100.00

3,284.00 EFECTIVO

0.00 CHEQUE 800.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

4,084.00 TOTAL ENTREGADO

4,083.95 REPORTE SISTEMA0.05 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

70.00 10.00

320.00 20.00

550.00 50.00

900.00 100.00

1,840.00 EFECTIVO

370.00 CHEQUE 1,457.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,667.99 TOTAL ENTREGADO

3,668.00 REPORTE SISTEMA-0.01 SE SACO DE C SOBRANTE / FALTANTE

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ventas 3:total billetes6.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

480.00 20.00

550.00 50.00

400.00 100.00

1,446.00 EFECTIVO

0.00 CHEQUE 315.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,761.00 TOTAL ENTREGADO1,761.03 REPORTE SISTEMA

-0.03 SOBRANTE / FALTANTE

ventas: 4total billetes4.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

60.00 20.00

50.00 50.00

0.00 100.00

129.00 EFECTIVO

0.00 CHEQUE 57.00 DEBITOS Y/O CREDITO60.00 aquí treinta so DEPOSITOS

246.00 TOTAL ENTREGADO239.00 REPORTE SISTEMA

7.00 SOBRANTE / FALTANTE

VENTAS 5:total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

20.00 20.00

0.00 50.00

100.00 100.00

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125.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

125.00 TOTAL ENTREGADO125.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes11.00 1.00

6.00 2.00

40.00 5.00

170.00 10.00

1,100.00 20.00

2,250.00 50.00

3,300.00 100.00

6,877.00 EFECTIVO

370.00 CHEQUE 2,629.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

9,876.99 TOTAL ENTREGADO9,876.98 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:21-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

2.00 10.00

34.00 340.00

80.00 1,600.00

7.00 350.00

16.00 1,600.00

3,900.00

4,266.00511.00

0.00

8,677.00

REPORTE SISTEMA 8,677.99 REPORTE SISTEMA-0.99

Evelin cañascantidad total

1.00 1.00

1.00 2.00

0.00 0.00

8.00 80.00

1.00 20.00

4.00 200.00

2.00 200.00

503.00

0.00326.00

0.00

829.00

828.990.01

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Giovanny paezcantidad total

5.00 5.00

0.00 0.00

0.00 0.00

51.00 510.00

14.00 280.00

70.00 3,500.00

2.00 200.00

4,495.00

773.00388.00

0.00

5,656.005,656.01

-0.01

Taller 1cantidad total

2.00 2.00

3.00 6.00

0.00 0.00

5.00 50.00

2.00 40.00

0.00 0.00

0.00 0.00

98.00

0.00125.0087.00

310.00310.00

0.00

TALLER 2cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

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0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

9.00 9.00

0.00 0.00

3.00 15.00

94.00 940.00

86.00 1,720.00

12.00 600.00

18.00 1,800.00

5,084.00

1,384.001,350.003,655.00

11,473.0011,472.99

0.01

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Gallery Computer, c.a

Fecha:22-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 115.00 2,300.00

50.00 2.00 100.00

100.00 2.00 200.00

EFECTIVO 2,630.00

CHEQUE 0.00DEBITOS Y/O CREDITO 413.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,043.00

REPORTE SISTEMA 3,043.98SOBRANTE / FALTANTE -0.98

ventas 2: Evelin cañasbilletes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

5.00 2.00 10.00

10.00 1.00 10.00

20.00 4.00 80.00

50.00 5.00 250.00

100.00 0.00 0.00

EFECTIVO 355.00

CHEQUE 0.00DEBITOS Y/O CREDITO 42.00

DEPOSITOS 0.00

TOTAL ENTREGADO 397.00

REPORTE SISTEMA 397.00SOBRANTE / FALTANTE 0.00

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 2.00 20.00

20.00 182.00 3,640.00

50.00 12.00 600.00

100.00 0.00 0.00

EFECTIVO 4,265.00

CHEQUE 0.00DEBITOS Y/O CREDITO 248.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,513.00REPORTE SISTEMA 4,514.01SOBRANTE / FALTANTE -1.01

ventas: 4 Taller 1billetes cantidad total

1.00 1.00 1.00

2.00 3.00 6.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 128.00 2,560.00

50.00 35.00 1,750.00

100.00 6.00 600.00

EFECTIVO 4,927.00

CHEQUE 280.00DEBITOS Y/O CREDITO 501.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,708.00REPORTE SISTEMA 5,706.02SOBRANTE / FALTANTE 1.98

VENTAS 5: TALLER 2billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 0.00 0.00

100.00 1.00 100.00

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EFECTIVO 145.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 145.00REPORTE SISTEMA 145.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 2.00 2.00

2.00 3.00 6.00

5.00 5.00 25.00

10.00 7.00 70.00

20.00 431.00 8,620.00

50.00 54.00 2,700.00

100.00 9.00 900.00

EFECTIVO 12,323.00

CHEQUE 280.00DEBITOS Y/O CREDITO 1,204.00

DEPOSITOS 0.00

TOTAL ENTREGADO 13,807.00REPORTE SISTEMA 13,806.01SOBRANTE / FALTANTE 0.99

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Gallery Computer, c.a

Fecha:23-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 4.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: Evelin cañasbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 0.00

5.00 3.00

10.00 27.00

20.00 15.00

50.00 20.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 1.00

2.00 1.00

5.00 2.00

10.00 54.00

20.00 39.00

50.00 10.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTAS 5: TALLER 2billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 3.00

50.00 1.00

100.00 0.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 3.00

2.00 2.00

5.00 7.00

10.00 83.00

20.00 61.00

50.00 35.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

2.00 2.00

5.00 5.00

0.00 10.00

80.00 20.00

200.00 50.00

0.00 100.00

287.00 EFECTIVO

1,606.00 CHEQUE 708.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,601.00 TOTAL ENTREGADO

2,601.99 REPORTE SISTEMA-0.99 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO

0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

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ventas 3:total billetes1.00 1.00

0.00 2.00

15.00 5.00

270.00 10.00

300.00 20.00

1,000.00 50.00

0.00 100.00

1,586.00 EFECTIVO

0.00 CHEQUE 284.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,870.99 TOTAL ENTREGADO1,870.99 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas: 4total billetes1.00 1.00

2.00 2.00

10.00 5.00

540.00 10.00

780.00 20.00

500.00 50.00

0.00 100.00

1,833.00 EFECTIVO

0.00 CHEQUE 712.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,545.00 TOTAL ENTREGADO2,545.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas: 5total billetes0.00 1.00

0.00 2.00

5.00 5.00

20.00 10.00

60.00 20.00

50.00 50.00

0.00 100.00

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135.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

135.00 TOTAL ENTREGADO135.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes3.00 1.00

4.00 2.00

35.00 5.00

830.00 10.00

1,220.00 20.00

1,750.00 50.00

0.00 100.00

3,842.00 EFECTIVO

1,606.00 CHEQUE 1,704.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,152.99 TOTAL ENTREGADO7,152.98 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:24-04-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

195.00 1,950.00

1.00 20.00

36.00 1,800.00

2.00 200.00

3,970.00

0.000.000.00

3,970.00

3,968.021.98

Evelin cañascantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

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Giovanny paezcantidad total

1.00 1.00

1.00 2.00

0.00 0.00

0.00 0.00

8.00 160.00

4.00 200.00

1.00 100.00

463.00

2,000.002,008.00331.06 TRANSFERENCIA

4,802.064,797.99

4.07

Taller 1cantidad total

1.00 1.00

10.00 20.00

4.00 20.00

3.00 30.00

97.00 1,940.00

6.00 300.00

0.00 0.00

2,311.00

505.002,742.00

0.00

5,558.005,558.01

-0.01

Taller 2cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

20.00 200.00

0.00 0.00

54.00 2,700.00

0.00 0.00

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2,900.00

0.000.000.00

2,900.002,900.99

-0.99

TOTAL EN VENTAScantidad total

2.00 2.00

11.00 22.00

4.00 20.00

218.00 2,180.00

106.00 2,120.00

100.00 5,000.00

3.00 300.00

9,644.00

2,505.004,750.00331.06 transferencia

17,230.0617,225.01

5.05

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Gallery Computer, c.a

Fecha:25-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 13.00 260.00

50.00 18.00 900.00

100.00 1.00 100.00

EFECTIVO 1,273.00

CHEQUE 0.00DEBITOS Y/O CREDITO 742.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,015.00

REPORTE SISTEMA 2,015.01SOBRANTE / FALTANTE -0.01

Ventas 1: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 5.00 10.00

5.00 0.00 0.00

10.00 4.00 40.00

20.00 24.00 480.00

50.00 44.00 2,200.00

100.00 8.00 800.00

EFECTIVO 3,530.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,912.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,442.00

REPORTE SISTEMA 7,441.96SOBRANTE / FALTANTE 0.04

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 9.00 18.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 28.00 560.00

50.00 25.00 1,250.00

100.00 1.00 100.00

EFECTIVO 1,983.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,470.00

DEPOSITOS

TOTAL ENTREGADO 5,453.00REPORTE SISTEMA 5,453.98SOBRANTE / FALTANTE -0.98

ventas: 4 Taller 1billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 7.00 35.00

10.00 3.00 30.00

20.00 0.00 0.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 218.00

CHEQUE 3,130.00DEBITOS Y/O CREDITO 842.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,190.00REPORTE SISTEMA 4,211.00SOBRANTE / FALTANTE -21.00

ventas: 5 Taller 2billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

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EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 125.00

DEPOSITOS 0.00

TOTAL ENTREGADO 125.00REPORTE SISTEMA 125.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 4.00 4.00

2.00 16.00 32.00

5.00 10.00 50.00

10.00 12.00 120.00

20.00 66.00 1,320.00

50.00 90.00 4,500.00

100.00 10.00 1,000.00

EFECTIVO 7,026.00

CHEQUE 3,130.00DEBITOS Y/O CREDITO 9,091.00

DEPOSITOS 0.00

TOTAL ENTREGADO 19,247.00REPORTE SISTEMA 19,246.95SOBRANTE / FALTANTE 0.05

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Gallery Computer, c.a

Fecha:27-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 3.00

5.00 1.00

10.00 96.00

20.00 242.00

50.00 42.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 1: EVELYN billetes cantidad

1.00 0.00

2.00 4.00

5.00 1.00

10.00 0.00

20.00 72.00

50.00 0.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 13.00

50.00 31.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 3.00

5.00 4.00

10.00 1.00

20.00 4.00

50.00 39.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

FALTANTE DE C SOBRANTE / FALTANTE

ventas: 5 Taller 2billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

FALTANTE PENDIENTE POR PAGAR/ YO LO RETIRE DE CAJA CHICA PARA SALDAR LAS CAJAS(NO SE LO E RELACIONADO PARA NOMINA) YA LOS CANCELO

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 100.00

20.00 332.00

50.00 113.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

6.00 2.00

5.00 5.00

960.00 10.00

4,840.00 20.00

2,100.00 50.00

400.00 100.00

8,311.00 EFECTIVO

0.00 CHEQUE 330.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,641.00 TOTAL ENTREGADO

8,641.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Ventas 1: total billetes

0.00 1.00

8.00 2.00

5.00 5.00

0.00 10.00

1,440.00 20.00

0.00 50.00

200.00 100.00

1,653.00 EFECTIVO

0.00 CHEQUE 987.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,640.00 TOTAL ENTREGADO

2,639.00 REPORTE SISTEMA1.00 SOBRANTE / FALTANTE

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ventas 3:total billetes1.00 1.00

4.00 2.00

0.00 5.00

10.00 10.00

260.00 20.00

1,550.00 50.00

200.00 100.00

2,025.00 EFECTIVO

119.00 CHEQUE 1,350.01 DEBITOS Y/O CREDITO

DEPOSITOS

3,494.01 TOTAL ENTREGADO3,493.99 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

6.00 2.00

20.00 5.00

10.00 10.00

80.00 20.00

1,950.00 50.00

0.00 100.00

2,066.00 EFECTIVO

0.00 CHEQUE DEBITOS Y/O CREDITO

0.40 DEPOSITOS

2,066.40 TOTAL ENTREGADO2,106.99 REPORTE SISTEMA

-40.59 SOBRANTE / FALTANTE

ventas: 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

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0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

0.00 2.00

5.00 5.00

1,000.00 10.00

6,640.00 20.00

5,650.00 50.00

800.00 100.00

14,096.00 EFECTIVO

119.00 CHEQUE 2,667.01 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

16,882.01 TOTAL ENTREGADO16,881.97 REPORTE SISTEMA

0.04 SOBRANTE / FALTANTE

SE SACO 2274,00 PARA EL NUEVO INGRESO DE CAJA CHICA PARA ASI PODER PAGARLES LA NOMINA DE LA CAJA DE EVELYN

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Gallery Computer, c.a

Fecha:28-04-09

Luis portillo cantidad total

0.00 0.00

0.00

1.00 5.00

94.00 940.00

4.00 80.00

28.00 1,400.00

0.00 0.00

2,425.00

98.00487.00

0.00

3,010.00

3,165.00-155.00 EL DINERO SE

EVELYN cantidad total

0.00 0.00

1.00 2.00

1.00 5.00

62.00 620.00

207.00 4,140.00

10.00 500.00

1.00 100.00

5,367.00

0.002,907.00

0.00

8,274.00

8,274.02-0.02

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Giovanny paezcantidad total

0.00 0.00

2.00 4.00

1.00 5.00

9.00 90.00

7.00 140.00

8.00 400.00

0.00 0.00

639.00

0.002,346.00

0.00

2,985.002,985.99

-0.99

Taller 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.000.000.00

Taller 2cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

0.00 0.00

1.00 20.00

0.00 0.00

1.00 100.00

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125.00

0.000.000.00

125.00125.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

4.00 8.00

4.00 20.00

162.00 1,620.00

122.00 2,440.00

48.00 2,400.00

2.00 200.00

6,688.00

98.005,740.00

0.00

12,526.0012,526.01

-0.01

SE SACO 2274,00 PARA EL NUEVO INGRESO DE CAJA CHICA PARA ASI PODER PAGARLES LA NOMINA DE LA CAJA DE EVELYN

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Gallery Computer, c.a

Fecha:29-04-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 1.00 20.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 192.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,243.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,435.00

REPORTE SISTEMA 1,434.97SOBRANTE / FALTANTE 0.03

Ventas 1: EVELYN billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 2.00 20.00

20.00 0.00 0.00

50.00 29.00 1,450.00

100.00 0.00 0.00

EFECTIVO 1,478.00

CHEQUE 0.00DEBITOS Y/O CREDITO 135.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,613.00

REPORTE SISTEMA 1,613.01SOBRANTE / FALTANTE -0.01

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ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 4.00 20.00

10.00 181.00 1,810.00

20.00 159.00 3,180.00

50.00 61.00 3,050.00

100.00 1.00 100.00

EFECTIVO 8,162.00

CHEQUE 0.00DEBITOS Y/O CREDITO 275.00

DEPOSITOS 0.00

TOTAL ENTREGADO 8,437.00REPORTE SISTEMA 8,437.00SOBRANTE / FALTANTE 0.00

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 1.00 50.00

100.00 1.00 100.00

EFECTIVO 165.00

CHEQUE 0.00DEBITOS Y/O CREDITO

DEPOSITOS 0.00

TOTAL ENTREGADO 165.00REPORTE SISTEMA 165.00SOBRANTE / FALTANTE 0.00

ventas: 5 Taller 2billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

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EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 3.00 6.00

5.00 6.00 30.00

10.00 186.00 1,860.00

20.00 160.00 3,200.00

50.00 94.00 4,700.00

100.00 2.00 200.00

EFECTIVO 9,997.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,653.00

DEPOSITOS 0.00

TOTAL ENTREGADO 11,650.00REPORTE SISTEMA 11,649.98SOBRANTE / FALTANTE 0.02

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Gallery Computer, c.a

Fecha:30-04-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 12.00

20.00 0.00

50.00 12.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 1: EVELYN billetes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 11.00

20.00 22.00

50.00 6.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

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ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 3.00

20.00 22.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 70.00

50.00 23.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 5 Taller 2billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 14.00

20.00 0.00

50.00 0.00

100.00 0.00

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EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 42.00

20.00 115.00

50.00 45.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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total0.00

2.00

0.00

120.00

0.00

600.00

100.00

822.00

475.000.00

2,511.00

3,808.00

3,806.971.03

total1.00

4.00

5.00

110.00

440.00

300.00

500.00

1,360.00

309.001,231.00

0.00

2,900.00

2,900.000.00

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total0.00

2.00

0.00

30.00

440.00

200.00

0.00

672.00

0.002,387.00

0.00

3,059.003,075.01

-16.01 ESTE FALTANTE SE SACO DE CAJA CHICA PARA SALDAR LA CAJA DEL 30-04-09(OJO: ESTE FALTANTE NO SE LE HA REFLEJADO POR NOMINA)

total1.00

0.00

5.00

10.00

1,400.00

1,150.00

600.00

3,166.00

0.00

0.00

3,166.003,165.97

0.03

total0.00

0.00

5.00

140.00

0.00

0.00

0.00

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145.00

0.000.000.00

145.00145.00

0.00

TOTAL EN VENTAStotal0.00

0.00

10.00

420.00

2,300.00

2,250.00

1,200.00

6,180.00

784.006,129.00

0.00

13,093.0013,092.95

0.05

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ESTE FALTANTE SE SACO DE CAJA CHICA PARA SALDAR LA CAJA DEL 30-04-09(OJO: ESTE FALTANTE NO SE LE HA REFLEJADO POR NOMINA)

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Gallery Computer, c.a

Fecha:02-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 7.00 70.00

20.00 4.00 80.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 300.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,531.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,831.00

REPORTE SISTEMA 2,831.99SOBRANTE / FALTANTE -0.99

Ventas 2: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00

10.00 0.00 0.00

20.00 3.00 60.00

50.00 7.00 350.00

100.00 2.00 200.00

EFECTIVO 612.00

CHEQUE 9,640.25DEBITOS Y/O CREDITO 1,102.50

DEPOSITOS

TOTAL ENTREGADO 11,354.75

REPORTE SISTEMA 11,442.76

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SOBRANTE / FALTANTE -88.01

ventas 3: Giovanny paezbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 37.00 185.00

10.00 9.00 90.00

20.00 8.00 160.00

50.00 5.00 250.00

100.00 0.00 0.00

EFECTIVO 687.00

CHEQUE 0.00DEBITOS Y/O CREDITO 5,080.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,767.00REPORTE SISTEMA 5,767.02SOBRANTE / FALTANTE -0.02

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 5.00 50.00

20.00 21.00 420.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 680.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,055.99

DEPOSITOS 30.00

TOTAL ENTREGADO 1,765.99REPORTE SISTEMA 1,764.98SOBRANTE / FALTANTE 1.01

ventas: 5 Taller 2billetes cantidad total

1.00 0.00 0.00

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2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 5.00 5.00

2.00 1.00 2.00

5.00 8.00 40.00

10.00 23.00 230.00

20.00 41.00 820.00

50.00 20.00 1,000.00

100.00 3.00 300.00

EFECTIVO 2,397.00

CHEQUE 9,640.00DEBITOS Y/O CREDITO 9,770.49

DEPOSITOS 0.00

TOTAL ENTREGADO 21,807.49REPORTE SISTEMA 21,806.75SOBRANTE / FALTANTE 0.74

SE SACO 2000 PARA EL NUEVO INGRESO DE CAJA CHICA DE LA CAJA DE GIOVANNI SOLO EN EFECTIVO ME QUEDO 397 QUE FUE DEPOSITADO

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Gallery Computer, c.a

Fecha:04-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 3.00

20.00 41.00

50.00 18.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 22.00

20.00 27.00

50.00 48.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

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YA SE LO PAS SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 57.00

20.00 17.00

50.00 27.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 20.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

FACTURA PEN DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 5 Taller 2billetes cantidad

1.00 0.00

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2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 82.00

20.00 105.00

50.00 97.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

2.00 2.00

5.00 5.00

30.00 10.00

820.00 20.00

900.00 50.00

500.00 100.00

2,257.00 EFECTIVO

3,587.00 CHEQUE 5,890.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

11,734.00 TOTAL ENTREGADO

11,733.94 REPORTE SISTEMA0.06 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

220.00 10.00

540.00 20.00

2,400.00 50.00

0.00 100.00

3,160.00 EFECTIVO

115.00 CHEQUE 138.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,413.00 TOTAL ENTREGADO

3,412.00 REPORTE SISTEMA

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1.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

570.00 10.00

340.00 20.00

1,350.00 50.00

100.00 100.00

2,360.00 EFECTIVO

0.00 CHEQUE 1,068.01 DEBITOS Y/O CREDITO984.00 cheque de la DEPOSITOS

4,412.01 TOTAL ENTREGADO4,411.03 REPORTE SISTEMA

0.98 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

400.00 20.00

200.00 50.00

0.00 100.00

600.00 EFECTIVO

0.00 CHEQUE DEBITOS Y/O CREDITO

161.00 DEPOSITOS

761.00 TOTAL ENTREGADO762.00 REPORTE SISTEMA

-1.00 SOBRANTE / FALTANTE

ventas: 5total billetes0.00 1.00

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0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

5.00 5.00

820.00 10.00

2,100.00 20.00

4,850.00 50.00

600.00 100.00

8,377.00 EFECTIVO

4,606.00 CHEQUE 7,257.01 DEBITOS Y/O CREDITO

79.07 IVA RETENID DEPOSITOS

20,319.08 TOTAL ENTREGADO20,318.97 REPORTE SISTEMA

0.11 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:05-05-09

Luis portillo cantidad total

1.00 1.00

1.00 2.00

1.00 5.00

0.00 0.00

65.00 1,300.00

136.00 6,800.00

1.00 100.00

8,208.00

0.00181.00

0.00

8,389.00

8,388.990.01

EVELYN cantidad total

1.00 1.00

1.00 2.00

1.00 5.00

11.00 110.00

14.00 280.00

42.00 2,100.00

8.00 800.00

3,298.00

180.00258.99

0.00

3,736.99

3,736.99

Page 206: cuadre daniela.xlsx

0.00

Giovanny paezcantidad total

3.00 3.00

1.00 2.00

18.00 90.00

13.00 130.00

36.00 720.00

4.00 200.00

5.00 500.00

1,645.00

0.00210.00

0.50

1,855.501,856.02

-0.52

Taller 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00286.00

0.00

286.00286.00

0.00

Taller 2cantidad total

0.00 0.00

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0.00 0.00

0.00 0.00

0.00 0.00

3.00 60.00

0.00 0.00

3.00 300.00

360.00

0.000.000.00

360.00360.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

4.00 8.00

19.00 95.00

27.00 270.00

117.00 2,340.00

182.00 9,100.00

17.00 1,700.00

13,513.00

180.00935.99

0.00

14,628.9914,628.00

0.99

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Gallery Computer, c.a

Fecha:06-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 5.00 50.00

20.00 16.00 320.00

50.00 7.00 350.00

100.00 0.00 0.00

EFECTIVO 724.00

CHEQUE 2,000.00DEBITOS Y/O CREDITO 1,135.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,859.00

REPORTE SISTEMA 3,859.99SOBRANTE / FALTANTE -0.99

Ventas 2: EVELYN billetes cantidad total

1.00 3.00 3.00

2.00 15.00 30.00

5.00 36.00 180.00

10.00 8.00 80.00

20.00 46.00 920.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 1,363.00

CHEQUE 0.00DEBITOS Y/O CREDITO 9,384.00

DEPOSITOS 0.00

TOTAL ENTREGADO 10,747.00

REPORTE SISTEMA 10,746.00

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SOBRANTE / FALTANTE 1.00

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 5.00 10.00

5.00 19.00 95.00

10.00 16.00 160.00

20.00 3.00 60.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 625.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,321.99

DEPOSITOS 0.00

TOTAL ENTREGADO 1,946.99REPORTE SISTEMA 1,946.99SOBRANTE / FALTANTE 0.00

ventas: 4 Taller 1billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 12.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 12.00REPORTE SISTEMA 12.00SOBRANTE / FALTANTE 0.00

ventas: 5 Taller 2billetes cantidad total

1.00 0.00 0.00

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2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 4.00 8.00

5.00 17.00 85.00

10.00 32.00 320.00

20.00 63.00 1,260.00

50.00 19.00 950.00

100.00 1.00 100.00

EFECTIVO 2,724.00

CHEQUE 2,000.00DEBITOS Y/O CREDITO 11,840.99

DEPOSITOS 0.00

TOTAL ENTREGADO 16,564.99REPORTE SISTEMA 16,564.98SOBRANTE / FALTANTE 0.01

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Gallery Computer, c.a

Fecha:07-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 5.00

20.00 18.00

50.00 19.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

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SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 10.00

5.00 0.00

10.00 0.00

20.00 4.00

50.00 15.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 4 Taller 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas: 5 Taller 2billetes cantidad

1.00 0.00

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2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 6.00

20.00 23.00

50.00 36.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

4.00 2.00

5.00 5.00

50.00 10.00

360.00 20.00

950.00 50.00

0.00 100.00

1,369.00 EFECTIVO

5,760.00 CHEQUE 3,202.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,331.00 TOTAL ENTREGADO

10,329.92 REPORTE SISTEMA1.08 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

50.00 50.00

100.00 100.00

150.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

150.00 TOTAL ENTREGADO

86.00 REPORTE SISTEMA

Page 218: cuadre daniela.xlsx

64.00 SOBRANTE / FALTANTE

ventas 3:total billetes1.00 1.00

20.00 2.00

0.00 5.00

0.00 10.00

80.00 20.00

750.00 50.00

600.00 100.00

1,451.00 EFECTIVO

0.00 CHEQUE 3,756.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,207.00 TOTAL ENTREGADO5,207.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas: 4total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

0.00 20.00

50.00 50.00

0.00 100.00

60.00 EFECTIVO

0.00 CHEQUE 310.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

370.00 TOTAL ENTREGADO370.03 REPORTE SISTEMA

-0.03 SOBRANTE / FALTANTE

ventas: 5total billetes0.00 1.00

Page 219: cuadre daniela.xlsx

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

4.00 2.00

0.00 5.00

60.00 10.00

460.00 20.00

1,800.00 50.00

700.00 100.00

3,025.00 EFECTIVO

5,760.00 CHEQUE 7,268.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

16,053.00 TOTAL ENTREGADO15,992.96 REPORTE SISTEMA

60.04 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:08-05-09

Luis portillo cantidad total

0.00 0.00

1.00 2.00

0.00 0.00

2.00 20.00

13.00 260.00

9.00 450.00

3.00 300.00

1,032.00

0.00135.00

0.00

1,167.00

1,172.00-5.00

EVELYN cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.00

Page 222: cuadre daniela.xlsx

0.00

Giovanny paezcantidad total

0.00 0.00

2.00 4.00

55.00 275.00

58.00 580.00

32.00 640.00

48.00 2,400.00

0.00 0.00

3,899.00

340.00465.00

0.00

4,704.004,703.93

0.07

Taller 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

2.00 20.00

33.00 660.00

5.00 250.00

1.00 100.00

1,030.00

2,098.61360.00

0.00

3,488.613,488.61

0.00

Taller 2cantidad total

0.00 0.00

Page 223: cuadre daniela.xlsx

0.00 0.00

5.00 25.00

1.00 10.00

0.00 0.00

0.00 0.00

0.00 0.00

35.00

0.000.000.00

35.0035.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

3.00 6.00

57.00 285.00

63.00 630.00

79.00 1,580.00

62.00 3,100.00

4.00 400.00

6,001.00

2,438.61960.00

0.00

9,399.619,399.54

0.07

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Gallery Computer, c.a

Fecha:09-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 10.00 100.00

20.00 30.00 600.00

50.00 2.00 100.00

100.00 0.00 0.00

EFECTIVO 809.00

CHEQUE 4,090.00DEBITOS Y/O CREDITO 1,170.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,069.00

REPORTE SISTEMA 6,110.99SOBRANTE / FALTANTE -41.99

Ventas 2: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00

Page 226: cuadre daniela.xlsx

SOBRANTE / FALTANTE 0.00

ventas 3: Giovanny paezbilletes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 2.00 10.00

10.00 12.00 120.00

20.00 14.00 280.00

50.00 76.00 3,800.00

100.00 5.00 500.00

EFECTIVO 4,714.00

CHEQUE 0.00DEBITOS Y/O CREDITO 7,868.99

DEPOSITOS 0.00

TOTAL ENTREGADO 12,582.99REPORTE SISTEMA 12,582.00SOBRANTE / FALTANTE 0.99

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 3.00 60.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 65.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 65.00REPORTE SISTEMA 65.00SOBRANTE / FALTANTE 0.00

ventas 5: TALLER 2billetes cantidad total

1.00 0.00 0.00

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2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 65.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 65.00REPORTE SISTEMA 65.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 2.00 2.00

2.00 4.00 8.00

5.00 3.00 15.00

10.00 13.00 130.00

20.00 47.00 940.00

50.00 82.00 4,100.00

100.00 5.00 500.00

EFECTIVO 5,695.00

CHEQUE 4,090.00DEBITOS Y/O CREDITO 9,038.99

DEPOSITOS 0.00

TOTAL ENTREGADO 18,823.99REPORTE SISTEMA 18,822.99SOBRANTE / FALTANTE 1.00

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Gallery Computer, c.a

Fecha:11-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 64.00

50.00 32.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 0.00

20.00 5.00

50.00 20.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 230: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 5.00

5.00 9.00

10.00 13.00

20.00 34.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: TALLR 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: TALLER 2billetes cantidad

1.00 0.00

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2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 13.00

10.00 22.00

20.00 103.00

50.00 52.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

SE RETIRO DEL EFECTIVO DEL DIA 11-05-09 1168 PARA HACER EL DEPOSITO DEL 50%

DEL IVA DE LAS VENTAS DEL DIA 2-05-09

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Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

0.00 2.00

0.00 5.00

80.00 10.00

1,280.00 20.00

1,600.00 50.00

0.00 100.00

2,961.00 EFECTIVO

1,753.00 CHEQUE 244.00 DEBITOS Y/O CREDITO

DEPOSITOS

4,958.00 TOTAL ENTREGADO

4,954.00 REPORTE SISTEMA4.00 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

0.00 2.00

15.00 5.00

0.00 10.00

100.00 20.00

1,000.00 50.00

0.00 100.00

1,115.00 EFECTIVO

1,359.99 CHEQUE 165.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,639.99 TOTAL ENTREGADO

2,639.99 REPORTE SISTEMA

Page 234: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

10.00 2.00

45.00 5.00

130.00 10.00

680.00 20.00

0.00 50.00

0.00 100.00

865.00 EFECTIVO

0.00 CHEQUE 652.98 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,517.98 TOTAL ENTREGADO1,517.98 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO10.00 REPORTE SISTEMA-10.00 LOS RETIRE D SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 235: cuadre daniela.xlsx

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

65.00 5.00

220.00 10.00

2,060.00 20.00

2,600.00 50.00

0.00 100.00

4,947.00 EFECTIVO

3,112.99 CHEQUE 1,061.98 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

9,121.97 TOTAL ENTREGADO9,121.97 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTESE RETIRO DEL EFECTIVO DEL DIA 11-05-09 1168 PARA HACER EL DEPOSITO DEL 50%

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Gallery Computer, c.a

Fecha:12-05-09

Luis portillo cantidad total

1.00 1.00

1.00 2.00

1.00 5.00

13.00 130.00

17.00 340.00

1.00 50.00

2.00 200.00

728.00

0.00680.00

1,408.00

1,408.000.00

EVELYN cantidad total

0.00 0.00

1.00 2.00

1.00 5.00

1.00 10.00

3.00 60.00

2.00 100.00

22.00 2,200.00

2,377.00

666.99515.00

0.00

3,558.99

3,558.96

Page 238: cuadre daniela.xlsx

0.03

Giovanny paezcantidad total

6.00 6.00

2.00 4.00

2.00 10.00

0.00 0.00

1.00 20.00

80.00 4,000.00

1.00 100.00

4,140.00

0.000.00

167.00

4,307.004,307.00

0.00

TALLR 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TALLER 2cantidad total

0.00 0.00

Page 239: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

1.00 1.00

2.00 4.00

4.00 20.00

13.00 130.00

22.00 440.00

83.00 4,150.00

25.00 2,500.00

7,245.00

666.991,362.00

0.00

9,273.999,273.96

0.03

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Gallery Computer, c.a

Fecha:13-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 4,139.00DEBITOS Y/O CREDITO 26.00

DEPOSITOS

TOTAL ENTREGADO 4,165.00

REPORTE SISTEMA 4,165.00SOBRANTE / FALTANTE 0.00

Ventas 2: EVELYN billetes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 3.00 60.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 285.00

CHEQUE 0.00DEBITOS Y/O CREDITO 265.00

DEPOSITOS 240.00

TOTAL ENTREGADO 790.00

REPORTE SISTEMA 789.00

Page 242: cuadre daniela.xlsx

SOBRANTE / FALTANTE 1.00

ventas 3: Giovanny paezbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 19.00 95.00

10.00 23.00 230.00

20.00 30.00 600.00

50.00 10.00 500.00

100.00 0.00 0.00

EFECTIVO 1,427.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,093.02

DEPOSITOS 0.00

TOTAL ENTREGADO 2,520.02REPORTE SISTEMA 2,520.02SOBRANTE / FALTANTE 0.00

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: TALLER 2billetes cantidad total

1.00 0.00 0.00

Page 243: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 1.00 5.00

10.00 2.00 20.00

20.00 8.00 160.00

50.00 2.00 100.00

100.00 0.00 0.00

EFECTIVO 285.00

CHEQUE 0.00DEBITOS Y/O CREDITO 160.00

DEPOSITOS 0.00

TOTAL ENTREGADO 445.00REPORTE SISTEMA 445.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 3.00 3.00

2.00 2.00 4.00

5.00 20.00 100.00

10.00 27.00 270.00

20.00 43.00 860.00

50.00 16.00 800.00

100.00 2.00 200.00

EFECTIVO 2,237.00

CHEQUE 4,139.00DEBITOS Y/O CREDITO 1,544.02

DEPOSITOS 0.00

TOTAL ENTREGADO 7,920.02REPORTE SISTEMA 7,919.02SOBRANTE / FALTANTE 1.00

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Gallery Computer, c.a

Fecha:14-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 1.00

5.00 20.00

10.00 12.00

20.00 6.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 3.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 246: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 4.00

2.00 2.00

5.00 7.00

10.00 8.00

20.00 20.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: TALLR 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: TALLER 2billetes cantidad

1.00 0.00

Page 247: cuadre daniela.xlsx

2.00 0.00

5.00 1.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 4.00

2.00 0.00

5.00 28.00

10.00 19.00

20.00 17.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

SE RETIRARON 1000 PARA HACER UN INGRESO EN CAJA CHICA PARA PAGARLE LA QUINC

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Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

2.00 2.00

100.00 5.00

120.00 10.00

120.00 20.00

100.00 50.00

100.00 100.00

543.00 EFECTIVO

0.00 CHEQUE 622.00 DEBITOS Y/O CREDITO

DEPOSITOS

1,165.00 TOTAL ENTREGADO

1,164.98 REPORTE SISTEMA0.02 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

150.00 50.00

400.00 100.00

550.00 EFECTIVO

0.00 CHEQUE 4,104.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

4,654.00 TOTAL ENTREGADO

4,653.00 REPORTE SISTEMA

Page 250: cuadre daniela.xlsx

1.00 SOBRANTE / FALTANTE

ventas 3:total billetes4.00 1.00

4.00 2.00

35.00 5.00

80.00 10.00

400.00 20.00

300.00 50.00

0.00 100.00

823.00 EFECTIVO

180.00 CHEQUE 468.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,471.00 TOTAL ENTREGADO1,470.01 REPORTE SISTEMA

0.99 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 251: cuadre daniela.xlsx

0.00 2.00

5.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 290.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

290.00 TOTAL ENTREGADO290.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes4.00 1.00

0.00 2.00

140.00 5.00

190.00 10.00

340.00 20.00

0.00 50.00

0.00 100.00

674.00 EFECTIVO

180.00 CHEQUE 5,724.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,578.00 TOTAL ENTREGADO6,577.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

SE RETIRARON 1000 PARA HACER UN INGRESO EN CAJA CHICA PARA PAGARLE LA QUINC ,,

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Gallery Computer, c.a

Fecha:15-05-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

0.00 0.00

1.00 20.00

3.00 150.00

1.00 100.00

275.00

1,565.001,985.00

3,825.00

3,825.99-0.99

EVELYN cantidad total

0.00 0.00

1.00 2.00

1.00 5.00

0.00 0.00

109.00 2,180.00

4.00 200.00

0.00 0.00

2,387.00

0.00347.00

0.00

2,734.00

2,734.00

Page 254: cuadre daniela.xlsx

0.00

Giovanny paezcantidad total

0.00 0.00

1.00 2.00

1.00 5.00

1.00 10.00

3.00 60.00

5.00 250.00

0.00 0.00

327.00

0.001,604.00

0.00

1,931.001,934.01

-3.01

TALLR 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TALLER 2cantidad total

0.00 0.00

Page 255: cuadre daniela.xlsx

0.00 0.00

1.00 5.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

1.00 1.00

1.00 2.00

2.00 10.00

2.00 20.00

113.00 2,260.00

12.00 600.00

1.00 100.00

2,993.00

1,565.003,936.00

0.00

8,494.008,494.00

0.00

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Page 257: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:16-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 7.00 140.00

50.00 1.00 50.00

100.00 1.00 100.00

EFECTIVO 311.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,350.00

DEPOSITOS

TOTAL ENTREGADO 1,661.00

REPORTE SISTEMA 2,260.01SOBRANTE / FALTANTE -599.01

Ventas 2: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 6.00 120.00

50.00 13.00 650.00

100.00 0.00 0.00

EFECTIVO 804.00

CHEQUE 0.00DEBITOS Y/O CREDITO 265.96

DEPOSITOS 0.00

TOTAL ENTREGADO 1,069.96

REPORTE SISTEMA 1,069.44

Page 258: cuadre daniela.xlsx

SOBRANTE / FALTANTE 0.52

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 7.00 70.00

20.00 18.00 360.00

50.00 6.00 300.00

100.00 1.00 100.00

EFECTIVO 830.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,234.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,064.00REPORTE SISTEMA 2,064.98SOBRANTE / FALTANTE -0.98

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: TALLER 2billetes cantidad total

1.00 0.00 0.00

Page 259: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 12.00 120.00

20.00 31.00 620.00

50.00 32.00 1,600.00

100.00 2.00 200.00

EFECTIVO 2,545.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,849.96

DEPOSITOS 0.00

TOTAL ENTREGADO 5,394.96REPORTE SISTEMA 5,394.43SOBRANTE / FALTANTE 0.53

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Gallery Computer, c.a

Fecha:18-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 2.00

2.00 0.00

5.00 2.00

10.00 73.00

20.00 16.00

50.00 9.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMAESTE FALTAN SOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 18.00

20.00 19.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 262: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 7.00

2.00

5.00 4.00

10.00 6.00

20.00 24.00

50.00 23.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: TALLR 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: TALLER 2billetes cantidad

1.00 0.00

Page 263: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

10.00 99.00

20.00 59.00

50.00 34.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

2.00 1.00

0.00 2.00

10.00 5.00

730.00 10.00

320.00 20.00

450.00 50.00

100.00 100.00

1,612.00 EFECTIVO

0.00 CHEQUE 383.00 DEBITOS Y/O CREDITO

DEPOSITOS

1,995.00 TOTAL ENTREGADO

1,995.99 REPORTE SISTEMA-0.99 SOBRANTE / FALTANTE

Ventas 2: total billetes

1.00 1.00

2.00 2.00

0.00 5.00

180.00 10.00

380.00 20.00

100.00 50.00

0.00 100.00

663.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO

270.00 DEPOSITOS

933.00 TOTAL ENTREGADO

932.99 REPORTE SISTEMA

Page 266: cuadre daniela.xlsx

0.01 SOBRANTE / FALTANTE

ventas 3:total billetes7.00 1.00

0.00 2.00

20.00 5.00

60.00 10.00

480.00 20.00

1,150.00 50.00

0.00 100.00

1,717.00 EFECTIVO

0.00 CHEQUE 377.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,094.00 TOTAL ENTREGADO2,093.01 REPORTE SISTEMA

0.99 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 267: cuadre daniela.xlsx

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 150.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

150.00 TOTAL ENTREGADO150.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

25.00 5.00

990.00 10.00

1,180.00 20.00

1,700.00 50.00

100.00 100.00

3,995.00 EFECTIVO

0.00 CHEQUE 1,180.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,175.00 TOTAL ENTREGADO5,171.99 REPORTE SISTEMA

3.01 SOBRANTE / FALTANTE

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Page 269: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:19-05-09

Luis portillo cantidad total

0.00 0.00

3.00 6.00

1.00 5.00

36.00 360.00

38.00 760.00

2.00 100.00

1.00 100.00

1,331.00

0.00782.00

2,113.00

2,110.992.01

EVELYN cantidad total

1.00 1.00

0.00 0.00

0.00 0.00

12.00 120.00

5.00 100.00

11.00 550.00

0.00 0.00

771.00

115.000.000.00

886.00

882.99

Page 270: cuadre daniela.xlsx

3.01

Giovanny paezcantidad total

1.00 1.00

1.00 2.00

0.00 0.00

2.00 20.00

0.00 0.00

8.00 400.00

0.00 0.00

423.00

0.00397.00

0.00

820.00819.00

1.00

TALLR 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TALLER 2cantidad total

0.00 0.00

Page 271: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

3.00 30.00

0.00 0.00

1.00 50.00

0.00 0.00

0.00

0.000.000.00

0.0080.00-80.00

TOTAL EN VENTAScantidad total

0.00 0.00

2.00 4.00

1.00 5.00

53.00 530.00

43.00 860.00

22.00 1,100.00

1.00 100.00

2,599.00

115.001,179.00

0.00

3,893.003,892.98

0.02

Page 272: cuadre daniela.xlsx
Page 273: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:20-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 4.00 40.00

20.00 34.00 680.00

50.00 20.00 1,000.00

100.00 0.00 0.00

EFECTIVO 1,725.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,177.00

DEPOSITOS

TOTAL ENTREGADO 2,902.00

REPORTE SISTEMA 2,900.98SOBRANTE / FALTANTE 1.02

Ventas 2: EVELYN billetes cantidad total

1.00 3.00 3.00

2.00 3.00 6.00

5.00 1.00 5.00

10.00 25.00 250.00

20.00 16.00 320.00

50.00 24.00 1,200.00

100.00 0.00 0.00

EFECTIVO 1,784.00

CHEQUE 0.00DEBITOS Y/O CREDITO 881.99

DEPOSITOS 0.00

TOTAL ENTREGADO 2,665.99

REPORTE SISTEMA 2,664.98

Page 274: cuadre daniela.xlsx

SOBRANTE / FALTANTE 1.01

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 4.00 8.00

5.00 0.00 0.00

10.00 35.00 350.00

20.00 28.00 560.00

50.00 8.00 400.00

100.00 2.00 200.00

EFECTIVO 1,518.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,484.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,002.00REPORTE SISTEMA 3,001.49SOBRANTE / FALTANTE 0.51

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

Page 275: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 5.00 500.00

EFECTIVO 500.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 500.00REPORTE SISTEMA 500.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 66.00 660.00

20.00 78.00 1,560.00

50.00 52.00 2,600.00

100.00 7.00 700.00

EFECTIVO 5,525.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,542.99

DEPOSITOS 0.00

TOTAL ENTREGADO 9,067.99REPORTE SISTEMA 9,067.45SOBRANTE / FALTANTE 0.54

Page 276: cuadre daniela.xlsx
Page 277: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:21-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 70.00

20.00 46.00

50.00 82.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 6.00

20.00 42.00

50.00 122.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 278: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 3.00

20.00 295.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: TALLR 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

Page 279: cuadre daniela.xlsx

2.00 0.00

5.00 1.00

10.00 13.00

20.00 0.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 92.00

20.00 383.00

50.00 211.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

700.00 10.00

920.00 20.00

4,100.00 50.00

0.00 100.00

5,720.00 EFECTIVO

3,000.00 CHEQUE 480.00 DEBITOS Y/O CREDITO

DEPOSITOS

9,200.00 TOTAL ENTREGADO

9,199.99 REPORTE SISTEMA0.01 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

60.00 10.00

840.00 20.00

6,100.00 50.00

100.00 100.00

7,100.00 EFECTIVO

0.00 CHEQUE 1,198.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,298.99 TOTAL ENTREGADO

8,298.94 REPORTE SISTEMA

Page 282: cuadre daniela.xlsx

0.05 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

2.00 2.00

0.00 5.00

30.00 10.00

5,900.00 20.00

0.00 50.00

0.00 100.00

5,932.00 EFECTIVO

0.00 CHEQUE 4,307.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,239.99 TOTAL ENTREGADO10,238.98 REPORTE SISTEMA

1.01 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 283: cuadre daniela.xlsx

0.00 2.00

5.00 5.00

130.00 10.00

0.00 20.00

350.00 50.00

0.00 100.00

485.00 EFECTIVO

0.00 CHEQUE 75.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

560.00 TOTAL ENTREGADO560.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS VENTA 6:total billetes0.00 1.00

2.00 2.00

5.00 5.00

920.00 10.00

7,660.00 20.00

10,550.00 50.00

100.00 100.00

19,237.00 EFECTIVO

3,000.00 CHEQUE 6,061.98 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

28,298.98 TOTAL ENTREGADO28,297.91 REPORTE SISTEMA

1.07 SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes

1.00

2.00

5.00

10.00

20.00

50.00

100.00

EFECTIVO

Page 284: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 285: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:22-05-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

8.00 160.00

13.00 650.00

4.00 400.00

1,210.00

0.002,988.88

4,198.88

4,198.89-0.01

EVELYN cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.00

Page 286: cuadre daniela.xlsx

0.00

Giovanny paezcantidad total

0.00 0.00

1.00 2.00

0.00 0.00

37.00 370.00

21.00 420.00

38.00 1,900.00

6.00 600.00

3,292.00

4,839.991,012.00

0.00

9,143.999,143.00

0.99

TALLR 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

QUINTILIOcantidad total

0.00 0.00

Page 287: cuadre daniela.xlsx

0.00 0.00

1.00 5.00

1.00 10.00

0.00 0.00

2.00 100.00

0.00 0.00

115.00

0.000.000.00

115.00115.00

0.00

CAJA EVENTUALcantidad total

0.00 0.00

5.00 10.00

2.00 10.00

2.00 20.00

32.00 640.00

48.00 2,400.00

1.00 100.00

3,180.00

6,412.86308.00

0.00

9,900.869,899.66

1.20

TOTAL EN VENTAScantidad total

0.00 0.00

4.00 8.00

2.00 10.00

43.00 430.00

62.00 1,240.00

100.00 5,000.00

12.00 1,200.00

7,888.00

Page 288: cuadre daniela.xlsx

11,252.854,308.88

23,449.7323,446.55

3.18

Page 289: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:23-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 20.00 200.00

20.00 9.00 180.00

50.00 8.00 400.00

100.00 2.00 200.00

EFECTIVO 980.00

CHEQUE 4,350.00DEBITOS Y/O CREDITO 2,853.00

DEPOSITOS

TOTAL ENTREGADO 8,183.00

REPORTE SISTEMA 8,182.98SOBRANTE / FALTANTE 0.02

Ventas 2: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 5.00 50.00

20.00 83.00 1,660.00

50.00 6.00 300.00

100.00 4.00 400.00

EFECTIVO 2,410.00

CHEQUE 0.00DEBITOS Y/O CREDITO 931.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,341.00

REPORTE SISTEMA 3,341.01

Page 290: cuadre daniela.xlsx

SOBRANTE / FALTANTE -0.01

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 209.00 2,090.00

20.00 34.00 680.00

50.00 28.00 1,400.00

100.00 0.00 0.00

EFECTIVO 4,175.00

CHEQUE 7,168.99DEBITOS Y/O CREDITO 879.00

DEPOSITOS 0.00

TOTAL ENTREGADO 12,222.99REPORTE SISTEMA 12,226.87SOBRANTE / FALTANTE -3.88

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

Page 291: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

VENTA 6: CAJA EVENTUALbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 7.00 70.00

20.00 16.00 320.00

50.00 8.00 400.00

100.00 0.00 0.00

EFECTIVO 795.00

CHEQUE 0.00DEBITOS Y/O CREDITO 240.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,035.00REPORTE SISTEMA 1,034.00SOBRANTE / FALTANTE 1.00

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 242.00 2,420.00

20.00 142.00 2,840.00

50.00 50.00 2,500.00

100.00 6.00 600.00

EFECTIVO 8,365.00

Page 292: cuadre daniela.xlsx

CHEQUE 11,518.99DEBITOS Y/O CREDITO 4,903.00

DEPOSITOS

TOTAL ENTREGADO 24,786.99REPORTE SISTEMA 24,784.86SOBRANTE / FALTANTE 2.13

Page 293: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:25-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 41.00

20.00 17.00

50.00 28.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 16.00

50.00 13.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 294: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 5.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOSE RETIRARON REPORTE SISTEMA

SOBRANTE / FALTANTE

ventas 4: TALLR 1billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

Page 295: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: CAJA EVENTUALbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 4.00

20.00 1.00

50.00 0.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 2.00

5.00 1.00

10.00 47.00

20.00 39.00

50.00 42.00

100.00 3.00

EFECTIVO

Page 296: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 297: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

4.00 2.00

0.00 5.00

410.00 10.00

340.00 20.00

1,400.00 50.00

100.00 100.00

2,255.00 EFECTIVO

6,000.00 CHEQUE 482.00 DEBITOS Y/O CREDITO

DEPOSITOS

8,737.00 TOTAL ENTREGADO

8,727.97 REPORTE SISTEMA9.03 SOBRANTE / FALTANTE

Ventas 2: total billetes

1.00 1.00

0.00 2.00

0.00 5.00

20.00 10.00

320.00 20.00

650.00 50.00

0.00 100.00

991.00 EFECTIVO

870.00 CHEQUE 2,338.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

4,199.99 TOTAL ENTREGADO

4,218.97 REPORTE SISTEMA

Page 298: cuadre daniela.xlsx

-18.98 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

100.00 20.00

50.00 50.00

100.00 100.00

250.00 EFECTIVO

660.00 CHEQUE 2,941.88 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,851.88 TOTAL ENTREGADO3,835.88 REPORTE SISTEMA

16.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 299: cuadre daniela.xlsx

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 160.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

160.00 TOTAL ENTREGADO160.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

5.00 5.00

40.00 10.00

20.00 20.00

0.00 50.00

100.00 100.00

165.00 EFECTIVO

0.00 CHEQUE 7,783.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,948.00 TOTAL ENTREGADO7,946.01 REPORTE SISTEMA

1.99 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes2.00 1.00

4.00 2.00

5.00 5.00

470.00 10.00

780.00 20.00

2,100.00 50.00

300.00 100.00

3,661.00 EFECTIVO

Page 300: cuadre daniela.xlsx

7,530.00 CHEQUE 13,705.87 DEBITOS Y/O CREDITO

DEPOSITOS

24,896.87 TOTAL ENTREGADO24,888.83 REPORTE SISTEMA

8.04 SOBRANTE / FALTANTE

Page 301: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:26-05-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

2.00 10.00

0.00 0.00

4.00 80.00

11.00 550.00

0.00 0.00

640.00

0.00312.00

0.00

952.00

951.990.01

EVELYN cantidad total

0.00 0.00

1.00 2.00

0.00 0.00

10.00 100.00

22.00 440.00

3.00 150.00

0.00 0.00

692.00

0.001,216.99460.00 esta pendiente

2,368.99

2,360.00

Page 302: cuadre daniela.xlsx

8.99 este sobrante

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

1.00 5.00

8.00 80.00

18.00 360.00

15.00 750.00

0.00 0.00

1,196.00

0.00725.00

0.00

1,921.001,921.01

-0.01

TALLR 1cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

QUINTILIOcantidad total

0.00 0.00

Page 303: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

1.00 20.00

0.00 0.00

0.00 0.00

20.00

0.00200.00

0.00

220.00220.00

0.00

CAJA EVENTUALcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

1.00 2.00

2.00 10.00

19.00 190.00

45.00 900.00

36.00 1,800.00

1.00 100.00

3,002.00

Page 304: cuadre daniela.xlsx

0.002,453.99

5,455.995,453.00

2.99

Page 305: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:27-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 21.00 420.00

50.00 27.00 1,350.00

100.00 2.00 200.00

EFECTIVO 1,982.00

CHEQUE 0.00DEBITOS Y/O CREDITO 533.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,515.00

REPORTE SISTEMA 2,515.02SOBRANTE / FALTANTE -0.02

Ventas 2: EVELYN billetes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 19.00 95.00

10.00 68.00 680.00

20.00 128.00 2,560.00

50.00 60.00 3,000.00

100.00 0.00 0.00

EFECTIVO 6,339.00

CHEQUE 666.99DEBITOS Y/O CREDITO 986.99

DEPOSITOS 0.00

TOTAL ENTREGADO 7,992.98

REPORTE SISTEMA 7,995.98

Page 306: cuadre daniela.xlsx

SOBRANTE / FALTANTE -3.00

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 4.00 40.00

20.00 0.00 0.00

50.00 4.00 200.00

100.00 2.00 200.00

EFECTIVO 440.00

CHEQUE 2,925.00DEBITOS Y/O CREDITO 678.00

DEPOSITOS 0.62

TOTAL ENTREGADO 4,043.62REPORTE SISTEMA 4,042.00SOBRANTE / FALTANTE 1.62

ventas 4: TALLR 1billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

Page 307: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 26.00 520.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 590.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 590.00REPORTE SISTEMA 591.00SOBRANTE / FALTANTE -1.00

VENTA 6: DROFRANbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 21.00

CHEQUE 0.00DEBITOS Y/O CREDITO 350.00

DEPOSITOS 0.00

TOTAL ENTREGADO 371.00REPORTE SISTEMA 371.00SOBRANTE / FALTANTE 0.00

VENTA 6: CAJA EVENTUALbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

Page 308: cuadre daniela.xlsx

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 77.00 770.00

20.00 175.00 3,500.00

50.00 94.00 4,700.00

100.00 4.00 400.00

EFECTIVO 9,376.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,547.99

DEPOSITOS 3,591.99

TOTAL ENTREGADO 15,515.98REPORTE SISTEMA 15,515.00SOBRANTE / FALTANTE 0.98

Page 309: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:28-05-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 8.00

20.00 5.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

Ventas 2: EVELYN billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 55.00

20.00 84.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMA

Page 310: cuadre daniela.xlsx

SOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 3.00

2.00 1.00

5.00 1.00

10.00 15.00

20.00 12.00

50.00 5.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas : dorfranbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 21.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

Page 311: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: CAJA EVENTUALbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 0.00

5.00 1.00

10.00 70.00

20.00 123.00

50.00 16.00

100.00 4.00

EFECTIVO

Page 312: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 313: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

2.00 2.00

0.00 5.00

80.00 10.00

100.00 20.00

300.00 50.00

0.00 100.00

482.00 EFECTIVO

0.00 CHEQUE 665.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,147.00 TOTAL ENTREGADO

1,146.01 REPORTE SISTEMA0.99 SOBRANTE / FALTANTE

Ventas 2: total billetes

0.00 1.00

4.00 2.00

0.00 5.00

550.00 10.00

1,680.00 20.00

100.00 50.00

100.00 100.00

2,434.00 EFECTIVO

5,227.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

7,661.00 TOTAL ENTREGADO

7,660.01 REPORTE SISTEMA

Page 314: cuadre daniela.xlsx

0.99 SOBRANTE / FALTANTE

ventas 3:total billetes3.00 1.00

2.00 2.00

5.00 5.00

150.00 10.00

240.00 20.00

250.00 50.00

300.00 100.00

950.00 EFECTIVO

0.00 CHEQUE 1,198.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,148.00 TOTAL ENTREGADO2,150.02 REPORTE SISTEMA

-2.02 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

420.00 20.00

50.00 50.00

0.00 100.00

470.00 EFECTIVO

0.00 CHEQUE 1,155.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,625.00 TOTAL ENTREGADO1,624.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

Page 315: cuadre daniela.xlsx

0.00 2.00

0.00 5.00

10.00 10.00

20.00 20.00

0.00 50.00

0.00 100.00

30.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

30.00 TOTAL ENTREGADO30.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes2.00 1.00

0.00 2.00

5.00 5.00

700.00 10.00

2,460.00 20.00

800.00 50.00

400.00 100.00

4,367.00 EFECTIVO

Page 316: cuadre daniela.xlsx

5,227.00 CHEQUE 3,018.00 DEBITOS Y/O CREDITO

DEPOSITOS

12,612.00 TOTAL ENTREGADO12,611.03 REPORTE SISTEMA

0.97 SOBRANTE / FALTANTE

Page 317: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:29-05-09

Luis portillo cantidad total

0.00 0.00

6.00 12.00

0.00 0.00

1.00 10.00

61.00 1,220.00

0.00 0.00

0.00 0.00

1,242.00

2,200.00180.00

0.00

3,622.00

3,621.880.12

EVELYN cantidad total

3.00 3.00

8.00 16.00

8.00 40.00

12.00 120.00

68.00 1,360.00

0.00 0.00

0.00 0.00

1,539.00

0.00641.99

0.00

2,180.99

2,180.98

Page 318: cuadre daniela.xlsx

0.01

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

0.00 0.00

2.00 20.00

17.00 340.00

22.00 1,100.00

1.00 100.00

1,561.00

23,268.963,529.99

28,359.9528,356.94

3.01

DORFRANcantidad total

0.00 0.00

5.00 10.00

0.00 0.00

1.00 10.00

7.00 140.00

2.00 100.00

2.00 200.00

460.00

7,810.005,058.00

0.00

13,328.0013,367.96

-39.96 SE LE PASO A

QUINTILIOcantidad total

0.00 0.00

Page 319: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

1.00 10.00

1.00 20.00

0.00 0.00

0.00 0.00

30.00

0.000.000.00

30.0030.000.00

CAJA EVENTUALcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

2.00 100.00

0.00 0.00

100.00

1,502.080.000.00

1,602.081,601.76

0.32

TOTAL EN VENTAScantidad total

4.00 4.00

20.00 40.00

8.00 40.00

18.00 180.00

168.00 3,360.00

25.00 1,250.00

1.00 100.00

4,974.00

Page 320: cuadre daniela.xlsx

2,200.009,409.9832,581.04

49,165.0249,159.52

5.50

Page 321: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:30-05-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 107.00 214.00

5.00 13.00 65.00

10.00 8.00 80.00

20.00 33.00 660.00

50.00 71.00 3,550.00

100.00 19.00 1,900.00

EFECTIVO 6,469.00

CHEQUE 10,689.00DEBITOS Y/O CREDITO 2,940.00

DEPOSITOS 0.00

TOTAL ENTREGADO 20,098.00

REPORTE SISTEMA 20,097.87SOBRANTE / FALTANTE 0.13

Ventas 2: EVELYN billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 6.00 30.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 4.00 200.00

100.00 1.00 100.00

EFECTIVO 334.00

CHEQUE 4,928.36DEBITOS Y/O CREDITO 3,148.98

DEPOSITOS 0.00

TOTAL ENTREGADO 8,411.34

REPORTE SISTEMA 8,402.34

Page 322: cuadre daniela.xlsx

SOBRANTE / FALTANTE 9.00

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 4.00 8.00

5.00 1.00 5.00

10.00 9.00 90.00

20.00 20.00 400.00

50.00 20.00 1,000.00

100.00 1.00 100.00

EFECTIVO 1,603.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,453.00

DEPOSITOS

TOTAL ENTREGADO 3,056.00REPORTE SISTEMA 3,051.02SOBRANTE / FALTANTE 4.98

ventas 4: DORFRANbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 5: QUINTILIObilletes cantidad total

1.00 2.00 2.00

Page 323: cuadre daniela.xlsx

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 1.00 50.00

100.00 1.00 100.00

EFECTIVO 152.00

CHEQUE 0.00DEBITOS Y/O CREDITO 200.00

DEPOSITOS 0.00

TOTAL ENTREGADO 352.00REPORTE SISTEMA 351.00SOBRANTE / FALTANTE 1.00

VENTA 6: CAJA EVENTUALbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 14.00 140.00

20.00 52.00 1,040.00

50.00 96.00 4,800.00

100.00 21.00 2,100.00

EFECTIVO 8,083.00

Page 324: cuadre daniela.xlsx

CHEQUE 10,689.00DEBITOS Y/O CREDITO 7,741.98

DEPOSITOS 5,388.36

TOTAL ENTREGADO 31,902.34REPORTE SISTEMA 31,902.23SOBRANTE / FALTANTE 0.11

Page 325: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:01-06-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 6.00 12.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 14.00 280.00

50.00 95.00 4,750.00

100.00 8.00 800.00

EFECTIVO 5,899.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,410.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,309.00

REPORTE SISTEMA 7,309.01SOBRANTE / FALTANTE -0.01

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 17.00 34.00

5.00 8.00 40.00

10.00 23.00 230.00

20.00 43.00 860.00

50.00 10.00 500.00

100.00 0.00 0.00

EFECTIVO 1,664.00

CHEQUE 0.00DEBITOS Y/O CREDITO 4,320.99

DEPOSITOS

TOTAL ENTREGADO 5,984.99

Page 326: cuadre daniela.xlsx

REPORTE SISTEMA 5,985.01SOBRANTE / FALTANTE -0.02

ventas 4: DORFRANbilletes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 8.00 80.00

20.00 9.00 180.00

50.00 8.00 400.00

100.00 21.00 2,100.00

EFECTIVO 2,764.00

CHEQUE 4,753.00DEBITOS Y/O CREDITO 567.00

DEPOSITOS 0.00

TOTAL ENTREGADO 8,084.00REPORTE SISTEMA 8,083.88SOBRANTE / FALTANTE 0.12

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 4.00 80.00

50.00 17.00 850.00

100.00 0.00 0.00

EFECTIVO 985.00

CHEQUE 160.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,145.00REPORTE SISTEMA 1,145.00SOBRANTE / FALTANTE 0.00

VENTA 6: CAJA EVENTUALbilletes cantidad total

Page 327: cuadre daniela.xlsx

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 2.00 40.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 110.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,475.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,585.00REPORTE SISTEMA 1,582.01SOBRANTE / FALTANTE 2.99

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 4.00 8.00

5.00 1.00 5.00

10.00 42.00 420.00

20.00 72.00 1,440.00

50.00 131.00 6,550.00

100.00 30.00 3,000.00

EFECTIVO 11,423.00

CHEQUE 4,913.00DEBITOS Y/O CREDITO 7,772.99

DEPOSITOS 0.00

TOTAL ENTREGADO 24,108.99REPORTE SISTEMA 24,104.91SOBRANTE / FALTANTE 4.08

Page 328: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:02-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 14.00

5.00 0.00

10.00 3.00

20.00 5.00

50.00 6.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 4.00

5.00 9.00

10.00 14.00

20.00 28.00

50.00 15.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 329: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 20.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 11.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: CAJA EVENTUALbilletes cantidad

Page 330: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 4.00

5.00 1.00

10.00 24.00

20.00 65.00

50.00 26.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 331: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

28.00 2.00

0.00 5.00

30.00 10.00

100.00 20.00

300.00 50.00

100.00 100.00

558.00 EFECTIVO

3,860.00 CHEQUE 1,217.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,635.00 TOTAL ENTREGADO

5,635.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

8.00 2.00

45.00 5.00

140.00 10.00

560.00 20.00

750.00 50.00

200.00 100.00

1,703.00 EFECTIVO

0.00 CHEQUE 114.00 DEBITOS Y/O CREDITO

DEPOSITOS

1,817.00 TOTAL ENTREGADO

Page 332: cuadre daniela.xlsx

1,818.99 REPORTE SISTEMA-1.99 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

50.00 10.00

400.00 20.00

0.00 50.00

0.00 100.00

450.00 EFECTIVO

1,060.00 CHEQUE 2,016.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,526.00 TOTAL ENTREGADO3,536.00 REPORTE SISTEMA

-10.00 FALTANTE DE SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

220.00 20.00

0.00 50.00

0.00 100.00

230.00 EFECTIVO

0.00 CHEQUE 106.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

336.00 TOTAL ENTREGADO336.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 333: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

8.00 2.00

5.00 5.00

240.00 10.00

1,300.00 20.00

1,300.00 50.00

100.00 100.00

2,953.00 EFECTIVO

4,920.00 CHEQUE 3,453.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

11,326.00 TOTAL ENTREGADO11,325.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

Page 334: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:03-06-09

Luis portillo cantidad total

0.00 0.00

2.00 4.00

1.00 5.00

6.00 60.00

25.00 500.00

28.00 1,400.00

6.00 600.00

2,569.00

0.0014,968.002,470.00 ES UN CREDIF

20,007.00

20,006.930.07

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

7.00 35.00

4.00 40.00

4.00 80.00

17.00 850.00

0.00 0.00

1,006.00

0.00675.00

1,681.00

Page 335: cuadre daniela.xlsx

1,681.000.00

DORFRANcantidad total

5.00 5.00

99.00 198.00

21.00 105.00

12.00 120.00

16.00 320.00

14.00 700.00

1.00 100.00

1,548.00

0.002,521.00

0.00

4,069.004,069.88

-0.88 ES UN COBRO

QUINTILIOcantidad total

1.00 1.00

3.00 6.00

1.00 5.00

0.00 0.00

8.00 160.00

7.00 350.00

0.00 0.00

522.00

0.00188.00

0.00

710.00710.00

0.00

CAJA EVENTUALcantidad total

Page 336: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

1.00 5.00

16.00 160.00

49.00 980.00

76.00 3,800.00

7.00 700.00

5,645.00

0.0018,352.002,470.00 CREDI FACIL

26,467.0026,467.81

-0.81

Page 337: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:04-06-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 18.00 180.00

20.00 55.00 1,100.00

50.00 116.00 5,800.00

100.00 3.00 300.00

EFECTIVO 7,382.00

CHEQUE 0.00DEBITOS Y/O CREDITO 67.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,449.00

REPORTE SISTEMA 7,448.97SOBRANTE / FALTANTE 0.03

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 81.00 162.00

5.00 8.00 40.00

10.00 3.00 30.00

20.00 39.00 780.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 1,212.00

CHEQUE 12,050.00DEBITOS Y/O CREDITO 4,030.79

DEPOSITOS 0.00

TOTAL ENTREGADO 17,292.79

Page 338: cuadre daniela.xlsx

REPORTE SISTEMA 17,299.78SOBRANTE / FALTANTE -6.99

ventas 4: DORFRANbilletes cantidad total

1.00 3.00 3.00

2.00 17.00 34.00

5.00 9.00 45.00

10.00 10.00 100.00

20.00 23.00 460.00

50.00 117.00 5,850.00

100.00 0.00 0.00

EFECTIVO 6,492.00

CHEQUE 0.00DEBITOS Y/O CREDITO 488.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,980.00REPORTE SISTEMA 6,979.99SOBRANTE / FALTANTE 0.01

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

2.00 5.00 10.00

5.00 2.00 10.00

10.00 2.00 20.00

20.00 1.00 20.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 210.00

CHEQUE 0.00DEBITOS Y/O CREDITO 453.00

DEPOSITOS 0.00

TOTAL ENTREGADO 663.00REPORTE SISTEMA 663.01SOBRANTE / FALTANTE -0.01

VENTA 6: CAJA EVENTUALbilletes cantidad total

Page 339: cuadre daniela.xlsx

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 27.00 270.00

20.00 114.00 2,280.00

50.00 171.00 8,550.00

100.00 0.00 0.00

EFECTIVO 11,101.00

CHEQUE 0.00DEBITOS Y/O CREDITO 5,038.79

DEPOSITOS 12,050.00

TOTAL ENTREGADO 28,189.79REPORTE SISTEMA 28,182.75SOBRANTE / FALTANTE 7.04

Page 340: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:05-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 12.00

20.00 3.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 43.00

20.00 43.00

50.00 19.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 341: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 2.00

5.00 3.00

10.00 13.00

20.00 11.00

50.00 108.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: CAJA EVENTUALbilletes cantidad

Page 342: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 9.00

5.00 3.00

10.00 65.00

20.00 57.00

50.00 135.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 343: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

2.00 2.00

5.00 5.00

120.00 10.00

60.00 20.00

350.00 50.00

0.00 100.00

537.00 EFECTIVO

14,800.00 CHEQUE 2,355.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

17,692.00 TOTAL ENTREGADO

17,692.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes1.00 1.00

4.00 2.00

5.00 5.00

430.00 10.00

860.00 20.00

950.00 50.00

100.00 100.00

2,350.00 EFECTIVO

4,691.68 CHEQUE 115.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,156.68 TOTAL ENTREGADO

Page 344: cuadre daniela.xlsx

7,156.68 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

4.00 2.00

15.00 5.00

130.00 10.00

220.00 20.00

5,400.00 50.00

100.00 100.00

5,869.00 EFECTIVO

667.00 CHEQUE 1,541.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,077.00 TOTAL ENTREGADO8,092.98 REPORTE SISTEMA

-15.98 FALTANTE SE SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 366.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

366.00 TOTAL ENTREGADO366.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 345: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

18.00 2.00

15.00 5.00

650.00 10.00

1,140.00 20.00

6,750.00 50.00

200.00 100.00

8,773.00 EFECTIVO

20,158.68 CHEQUE 4,377.00 DEBITOS Y/O CREDITO

DEPOSITOS

33,308.68 TOTAL ENTREGADO33,307.66 REPORTE SISTEMA

1.02 SOBRANTE / FALTANTE

Page 346: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:06-06-09

Luis portillo cantidad total

4.00 4.00

4.00 8.00

2.00 10.00

1.00 10.00

6.00 120.00

14.00 700.00

2.00 200.00

1,052.00

0.005,500.00

0.00

6,552.00

6,552.99-0.99

Giovanny paezcantidad total

1.00 1.00

30.00 60.00

2.00 10.00

29.00 290.00

157.00 3,140.00

76.00 3,800.00

2.00 200.00

7,501.00

4,710.004,653.876,149.00

23,013.87

Page 347: cuadre daniela.xlsx

23,012.880.99

DORFRANcantidad total

6.00 6.00

6.00 12.00

16.00 80.00

145.00 1,450.00

23.00 460.00

9.00 450.00

2.00 200.00

2,658.00

320.00815.00

0.00

3,793.003,792.98

0.02 FALTANTE Y N

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

1.00 20.00

1.00 50.00

0.00 0.00

70.00

0.000.000.00

70.0070.000.00

CAJA EVENTUALcantidad total

Page 348: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

3.00 6.00

1.00 5.00

174.00 1,740.00

188.00 3,760.00

68.00 3,400.00

4.00 400.00

9,311.00

5,030.0010,968.876,149.00

31,458.8731,458.85

0.02

Page 349: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:08-06-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 3.00 60.00

50.00 9.00 450.00

100.00 1.00 100.00

EFECTIVO 630.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,770.80

DEPOSITOS 0.00

TOTAL ENTREGADO 3,400.80

REPORTE SISTEMA 3,399.88SOBRANTE / FALTANTE 0.92

ventas 3: Giovanny paezbilletes cantidad total

1.00 5.00 5.00

2.00 32.00 64.00

5.00 6.00 30.00

10.00 7.00 70.00

20.00 90.00 1,800.00

50.00 27.00 1,350.00

100.00 2.00 200.00

EFECTIVO 3,519.00

CHEQUE 265.00DEBITOS Y/O CREDITO 1,098.98

DEPOSITOS 0.00

TOTAL ENTREGADO 4,882.98

Page 350: cuadre daniela.xlsx

REPORTE SISTEMA 4,883.97SOBRANTE / FALTANTE -0.99

ventas 4: DORFRANbilletes cantidad total

1.00 4.00 4.00

2.00 16.00 32.00

5.00 16.00 80.00

10.00 6.00 60.00

20.00 26.00 520.00

50.00 7.00 350.00

100.00 0.00 0.00

EFECTIVO 1,046.00

CHEQUE 2,490.00DEBITOS Y/O CREDITO 3,821.99

DEPOSITOS 0.00

TOTAL ENTREGADO 7,357.99REPORTE SISTEMA 7,357.00SOBRANTE / FALTANTE 0.99

ventas 5: QUINTILIObilletes cantidad total

1.00 1.00 1.00

2.00 3.00 6.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 32.00

CHEQUE 0.00DEBITOS Y/O CREDITO 70.00

DEPOSITOS 0.00

TOTAL ENTREGADO 102.00REPORTE SISTEMA 102.01SOBRANTE / FALTANTE -0.01

VENTA 6: CAJA EVENTUALbilletes cantidad total

Page 351: cuadre daniela.xlsx

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 10.00 20.00

5.00 13.00 65.00

10.00 15.00 150.00

20.00 22.00 440.00

50.00 21.00 1,050.00

100.00 0.00

EFECTIVO 1,726.00

CHEQUE 2,755.00DEBITOS Y/O CREDITO 7,761.77

DEPOSITOS 0.00

TOTAL ENTREGADO 12,242.77REPORTE SISTEMA 12,242.78SOBRANTE / FALTANTE -0.01

Page 352: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:09-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 61.00

50.00 28.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 5.00

5.00 5.00

10.00 106.00

20.00 14.00

50.00 10.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 353: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 10.00

50.00 83.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: CAJA EVENTUALbilletes cantidad

Page 354: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 5.00

5.00 6.00

10.00 113.00

20.00 80.00

50.00 93.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 355: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

0.00 2.00

5.00 5.00

30.00 10.00

1,220.00 20.00

1,400.00 50.00

500.00 100.00

3,156.00 EFECTIVO

0.00 CHEQUE 6,047.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

9,203.00 TOTAL ENTREGADO

9,202.79 REPORTE SISTEMA0.21 SOBRANTE / FALTANTE

ventas 3:total billetes1.00 1.00

10.00 2.00

25.00 5.00

1,060.00 10.00

280.00 20.00

500.00 50.00

0.00 100.00

1,876.00 EFECTIVO

180.00 CHEQUE 1,216.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,272.00 TOTAL ENTREGADO

Page 356: cuadre daniela.xlsx

3,270.06 REPORTE SISTEMA1.94 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

40.00 10.00

200.00 20.00

4,150.00 50.00

700.00 100.00

5,090.00 EFECTIVO

0.00 CHEQUE 2,000.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,090.00 TOTAL ENTREGADO7,083.98 REPORTE SISTEMA

6.02 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 70.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

70.00 TOTAL ENTREGADO70.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

SALDOS EN CAJAtotal billetes

Page 357: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAStotal2.00

10.00

30.00

1,130.00

1,600.00

4,650.00

700.00

8,122.00

180.009,333.00

0.00

17,635.0017,626.83

8.17

Page 358: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:10-06-09

Luis portillo cantidad total

2.00 2.00

2.00 4.00

0.00 0.00

4.00 40.00

167.00 3,340.00

8.00 400.00

1.00 100.00

3,886.00

0.001,445.00

0.00

5,331.00

5,331.000.00

Giovanny paezcantidad total

0.00 0.00

8.00 16.00

1.00 5.00

42.00 420.00

2.00 40.00

10.00 500.00

0.00 0.00

981.00

5,150.00205.00

6,336.00

Page 359: cuadre daniela.xlsx

6,335.001.00

DORFRANcantidad total

0.00 0.00

4.00 8.00

2.00 10.00

39.00 390.00

49.00 980.00

94.00 4,700.00

1.00 100.00

6,188.00

0.000.000.00

6,188.006,591.88 suilvida revis

-403.88 los retire de

QUINTILIOcantidad total

0.00 0.00

1.00 2.00

2.00 10.00

1.00 10.00

2.00 40.00

2.00 100.00

0.00 0.00

162.00

0.00195.00

0.00

357.00350.01

6.99

SALDOS EN CAJAcantidad total

Page 360: cuadre daniela.xlsx

1.00 1.00

6.00 12.00

3.00 15.00

88.00 880.00

221.00 4,420.00

114.00 5,700.00

2.00 200.00

11,228.00

5,150.002,230.00

18,608.0018,607.89

0.11

Page 361: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:11-06-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 7.00 14.00

5.00 5.00 25.00

10.00 42.00 420.00

20.00 24.00 480.00

50.00 13.00 650.00

100.00 1.00 100.00

EFECTIVO 1,691.00

CHEQUE 1,370.00DEBITOS Y/O CREDITO 8,159.00

DEPOSITOS 0.00

TOTAL ENTREGADO 11,220.00

REPORTE SISTEMA 11,220.05SOBRANTE / FALTANTE -0.05

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 20.00 40.00

5.00 36.00 180.00

10.00 35.00 350.00

20.00 26.00 520.00

50.00 13.00 650.00

100.00 2.00 200.00

EFECTIVO 1,940.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,085.00

DEPOSITOS 4,952.00

TOTAL ENTREGADO 7,977.00

Page 362: cuadre daniela.xlsx

REPORTE SISTEMA 7,976.02SOBRANTE / FALTANTE 0.98

ventas 4: DORFRANbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 32.00 320.00

20.00 71.00 1,420.00

50.00 33.00 1,650.00

100.00 1.00 100.00

EFECTIVO 3,492.00

CHEQUE 0.00DEBITOS Y/O CREDITO 217.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,709.00REPORTE SISTEMA 3,705.99SOBRANTE / FALTANTE 3.01

ventas 5: QUINTILIObilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 60.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 60.00REPORTE SISTEMA 60.00SOBRANTE / FALTANTE 0.00

SALDOS EN CAJAbilletes cantidad total

Page 363: cuadre daniela.xlsx

1.00 0.00 0.00

2.00 12.00 24.00

5.00 33.00 165.00

10.00 106.00 1,060.00

20.00 122.00 2,440.00

50.00 15.00 750.00

100.00 0.00 0.00

EFECTIVO 4,439.00

CHEQUE 1,370.00DEBITOS Y/O CREDITO 9,461.00

DEPOSITOS 4,952.00

TOTAL ENTREGADO 20,222.00REPORTE SISTEMA 20,217.86SOBRANTE / FALTANTE 4.14

Page 364: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:12-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 3.00

5.00 0.00

10.00 30.00

20.00 180.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 24.00

20.00 9.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

es una factur DEPOSITOS

TOTAL ENTREGADO

Page 365: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 0.00

50.00 5.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

SALDOS EN CAJAbilletes cantidad

Page 366: cuadre daniela.xlsx

1.00 1.00

2.00 2.00

5.00 1.00

10.00 51.00

20.00 189.00

50.00 14.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

ES DE UNA R DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 367: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

6.00 2.00

0.00 5.00

300.00 10.00

3,600.00 20.00

250.00 50.00

100.00 100.00

4,257.00 EFECTIVO

897.00 CHEQUE 1,534.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,688.00 TOTAL ENTREGADO

6,688.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

240.00 10.00

180.00 20.00

150.00 50.00

0.00 100.00

570.00 EFECTIVO

0.00 CHEQUE 1,322.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,892.99 TOTAL ENTREGADO

Page 368: cuadre daniela.xlsx

1,900.02 REPORTE SISTEMA-7.03 SOBRANTE / FALTANTE

ventas 4:total billetes1.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

0.00 20.00

250.00 50.00

0.00 100.00

266.00 EFECTIVO

0.00 CHEQUE 57.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

323.00 TOTAL ENTREGADO323.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

SALDOS EN CAJA SALDOS EN CAJAtotal billetes

Page 369: cuadre daniela.xlsx

1.00 1.00

4.00 2.00

5.00 5.00

510.00 10.00

3,780.00 20.00

700.00 50.00

100.00 100.00

5,100.00 EFECTIVO

897.00 CHEQUE 2,913.99 DEBITOS Y/O CREDITO

0.30 DEPOSITOS

8,911.29 TOTAL ENTREGADO8,911.02 REPORTE SISTEMA

0.27 SOBRANTE / FALTANTE

Page 370: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:13-06-09

Luis portillo cantidad total

4.00 4.00

5.00 10.00

4.00 20.00

2.00 20.00

5.00 100.00

21.00 1,050.00

4.00 400.00

1,604.00

6,930.003,539.00

0.00

12,073.00

12,072.800.20

Giovanny paezcantidad total

0.00 0.00

2.00 4.00

4.00 20.00

209.00 2,090.00

126.00 2,520.00

123.00 6,150.00

17.00 1,700.00

12,484.00

0.002,034.00

0.00

14,518.00

Page 371: cuadre daniela.xlsx

14,518.98-0.98

DORFRANcantidad total

0.00 0.00

0.00 0.00

2.00 10.00

4.00 40.00

7.00 140.00

1.00 50.00

1.00 100.00

340.00

0.000.000.00

340.00339.50

0.50

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

3.00 60.00

0.00 0.00

1.00 100.00

160.00

0.000.000.00

160.00160.00

0.00

SALDOS EN CAJAcantidad total

Page 372: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

213.00 2,130.00

142.00 2,840.00

137.00 6,850.00

0.00 0.00

11,820.00

6,930.005,573.00

0.00

24,323.0024,321.78

1.22

Page 373: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:15-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 2.00

2.00 4.00

5.00 3.00

10.00 9.00

20.00 5.00

50.00 69.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 4.00

10.00 2.00

20.00 9.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 374: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 4.00

5.00 2.00

10.00 0.00

20.00 3.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 375: cuadre daniela.xlsx

1.00 3.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 61.00

50.00 32.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 10.00

20.00 77.00

50.00 107.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 376: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

2.00 1.00

8.00 2.00

15.00 5.00

90.00 10.00

100.00 20.00

3,450.00 50.00

400.00 100.00

4,065.00 EFECTIVO

0.00 CHEQUE 1,895.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,960.00 TOTAL ENTREGADO

5,959.01 REPORTE SISTEMA0.99 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

20.00 5.00

20.00 10.00

180.00 20.00

200.00 50.00

0.00 100.00

420.00 EFECTIVO

0.00 CHEQUE 1,936.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,356.99 TOTAL ENTREGADO

Page 377: cuadre daniela.xlsx

2,359.00 REPORTE SISTEMA-2.01 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

8.00 2.00

10.00 5.00

0.00 10.00

60.00 20.00

0.00 50.00

0.00 100.00

78.00 EFECTIVO

0.00 CHEQUE 145.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

223.00 TOTAL ENTREGADO223.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 160.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

160.00 TOTAL ENTREGADO160.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 378: cuadre daniela.xlsx

3.00 1.00

2.00 2.00

5.00 5.00

0.00 10.00

1,220.00 20.00

1,600.00 50.00

600.00 100.00

3,430.00 EFECTIVO

0.00 CHEQUE 140.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

3,570.00 TOTAL ENTREGADO3,569.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

5.00 5.00

100.00 10.00

1,540.00 20.00

5,350.00 50.00

1,000.00 100.00

7,995.00 EFECTIVO

0.00 CHEQUE 4,276.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

12,271.99 TOTAL ENTREGADO12,271.00 REPORTE SISTEMA

0.99 SOBRANTE / FALTANTE

Page 379: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:16-06-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

4.00 40.00

2.00 40.00

3.00 150.00

0.00 0.00

235.00

0.00781.00

0.00

1,016.00

1,016.000.00

Giovanny paezcantidad total

0.00 0.00

2.00 4.00

5.00 25.00

21.00 210.00

17.00 340.00

2.00 100.00

8.00 800.00

1,479.00

0.00163.00

0.00

1,642.00

Page 380: cuadre daniela.xlsx

1,881.02-239.02

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 381: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

2.00 10.00

3.00 30.00

23.00 460.00

8.00 400.00

1.00 100.00

1,000.00

615.01792.00

0.00

2,407.012,402.03

4.98

TOTAL EN VENTAScantidad total

0.00 0.00

1.00 2.00

2.00 10.00

22.00 220.00

41.00 820.00

16.00 800.00

11.00 1,100.00

2,952.00

615.011,736.00

0.00

5,303.015,302.05

0.96

Page 382: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:17-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 8.00

50.00 14.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 2.00

10.00 26.00

20.00 10.00

50.00 56.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 383: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 205.00

20.00 0.00

50.00 33.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 384: cuadre daniela.xlsx

1.00 0.00

2.00 3.00

5.00 0.00

10.00 14.00

20.00 5.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 4.00

5.00 1.00

10.00 248.00

20.00 23.00

50.00 111.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 385: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

160.00 20.00

700.00 50.00

0.00 100.00

870.00 EFECTIVO

0.00 CHEQUE 555.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,425.00 TOTAL ENTREGADO

1,423.00 REPORTE SISTEMA2.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

2.00 2.00

10.00 5.00

260.00 10.00

200.00 20.00

2,800.00 50.00

0.00 100.00

3,272.00 EFECTIVO

0.00 CHEQUE 4,646.98 DEBITOS Y/O CREDITO

90.00 adriana tenia DEPOSITOS

8,008.98 TOTAL ENTREGADO

Page 386: cuadre daniela.xlsx

8,009.01 REPORTE SISTEMA-0.03 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

15.00 5.00

2,050.00 10.00

0.00 20.00

1,650.00 50.00

0.00 100.00

3,715.00 EFECTIVO

3,736.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

7,451.00 TOTAL ENTREGADO7,450.98 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 200.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

200.00 TOTAL ENTREGADO200.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 387: cuadre daniela.xlsx

0.00 1.00

6.00 2.00

0.00 5.00

140.00 10.00

100.00 20.00

400.00 50.00

0.00 100.00

646.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

646.00 TOTAL ENTREGADO645.00 REPORTE SISTEMA

1.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

8.00 2.00

5.00 5.00

2,480.00 10.00

460.00 20.00

5,550.00 50.00

0.00 100.00

8,503.00 EFECTIVO

3,736.00 CHEQUE 5,400.98 DEBITOS Y/O CREDITO

90.00 adriana tenia DEPOSITOS

17,729.98 TOTAL ENTREGADO17,727.99 REPORTE SISTEMA

1.99 SOBRANTE / FALTANTE

Page 388: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:18-06-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

Page 389: cuadre daniela.xlsx

0.000.00

DORFRANcantidad total

2.00 2.00

0.00 0.00

0.00 0.00

18.00 180.00

1.00 20.00

81.00 4,050.00

8.00 800.00

5,052.00

5,200.00410.00

0.00

10,662.0010,663.00

-1.00

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 390: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 391: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:19-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 4.00

5.00 1.00

10.00 3.00

20.00 2.00

50.00 24.00

100.00 63.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 0.00

20.00 1.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 392: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 4.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 393: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 4.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 8.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 394: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

8.00 2.00

5.00 5.00

30.00 10.00

40.00 20.00

1,200.00 50.00

6,300.00 100.00

7,583.00 EFECTIVO

0.00 CHEQUE 380.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

7,963.00 TOTAL ENTREGADO

7,959.02 REPORTE SISTEMA3.98 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

4.00 2.00

5.00 5.00

0.00 10.00

20.00 20.00

300.00 50.00

0.00 100.00

329.00 EFECTIVO

0.00 CHEQUE 2,286.00 DEBITOS Y/O CREDITO2,800.00 DEPOSITOS

5,415.00 TOTAL ENTREGADO

Page 395: cuadre daniela.xlsx

5,414.02 REPORTE SISTEMA0.98 SOBRANTE / FALTANTE

ventas 4:total billetes4.00 1.00

4.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

200.00 100.00

208.00 EFECTIVO

0.00 CHEQUE 8,414.00 DEBITOS Y/O CREDITO1,692.00 DEPOSITOS

10,314.00 TOTAL ENTREGADO10,241.97 REPORTE SISTEMA

72.03 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

0.00 20.00

150.00 50.00

0.00 100.00

160.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

160.00 TOTAL ENTREGADO160.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 396: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 167.00 DEBITOS Y/O CREDITO

1,261.00 DEPOSITOS

1,428.00 TOTAL ENTREGADO1,428.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

8.00 2.00

0.00 5.00

0.00 10.00

20.00 20.00

400.00 50.00

300.00 100.00

728.00 EFECTIVO

0.00 CHEQUE 11,247.00 DEBITOS Y/O CREDITO13,296.00 DEPOSITOS

25,271.00 TOTAL ENTREGADO25,203.01 REPORTE SISTEMA

67.99 SOBRANTE / FALTANTE

Page 397: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:20-06-09

Luis portillo cantidad total

1.00 1.00

0.00 0.00

1.00 5.00

1.00 10.00

5.00 100.00

4.00 200.00

2.00 200.00

516.00

0.0035.000.00

551.00

551.000.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

3.00 60.00

6.00 300.00

1.00 100.00

460.00

0.00624.00

0.00

1,084.00

Page 398: cuadre daniela.xlsx

1,082.981.02

DORFRANcantidad total

1.00 1.00

0.00 0.00

0.00 0.00

1.00 10.00

1.00 20.00

38.00 1,900.00

32.00 3,200.00

5,131.00

0.00681.00

0.00

5,812.005,812.00

0.00

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 399: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

2.00 20.00

16.00 320.00

5.00 250.00

0.00 0.00

590.00

0.00863.00

0.00

1,453.001,451.00

2.00

TOTAL EN VENTAScantidad total

2.00 2.00

0.00 0.00

1.00 5.00

4.00 40.00

25.00 500.00

55.00 2,750.00

34.00 3,400.00

6,697.00

0.002,203.00

0.00

8,900.008,896.98

3.02

Page 400: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:22-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 2.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 46.00

50.00 9.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 9.00

50.00 22.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 401: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 137.00

20.00 1.00

50.00 16.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 402: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 6.00

10.00 4.00

20.00 27.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 140.00

20.00 83.00

50.00 51.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 403: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

2.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

920.00 20.00

450.00 50.00

0.00 100.00

1,377.00 EFECTIVO

215.00 CHEQUE 778.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

2,370.00 TOTAL ENTREGADO

2,367.98 REPORTE SISTEMA2.02 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

180.00 20.00

1,100.00 50.00

100.00 100.00

1,380.00 EFECTIVO

4,071.98 CHEQUE 1,085.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,536.98 TOTAL ENTREGADO

Page 404: cuadre daniela.xlsx

6,536.05 REPORTE SISTEMA0.93 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

15.00 5.00

1,370.00 10.00

20.00 20.00

800.00 50.00

0.00 100.00

2,205.00 EFECTIVO

0.00 CHEQUE 611.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

2,816.00 TOTAL ENTREGADO2,818.00 REPORTE SISTEMA

-2.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 405: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

30.00 5.00

40.00 10.00

540.00 20.00

150.00 50.00

0.00 100.00

760.00 EFECTIVO

0.00 CHEQUE 732.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,492.00 TOTAL ENTREGADO1,490.00 REPORTE SISTEMA

2.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

10.00 5.00

1,400.00 10.00

1,660.00 20.00

2,550.00 50.00

100.00 100.00

5,720.00 EFECTIVO

4,286.98 CHEQUE 3,206.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

13,212.98 TOTAL ENTREGADO13,212.03 REPORTE SISTEMA

0.95 SOBRANTE / FALTANTE

Page 406: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:23-06-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

Page 407: cuadre daniela.xlsx

0.000.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

QUINTILIOcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 408: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 409: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:23-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 4.00

20.00 10.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

VENTAS 2 GIOVANNIbilletes cantidad

1.00 2.00

2.00 31.00

5.00 52.00

10.00 86.00

20.00 6.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 410: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: QUINTILIObilletes cantidad

1.00 0.00

2.00 5.00

5.00 2.00

10.00 15.00

20.00 0.00

50.00 1.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 411: cuadre daniela.xlsx

1.00 2.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 34.00

50.00 5.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 2.00

10.00 109.00

20.00 51.00

50.00 13.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

cheque de 8000 de luis fue devuelto por error de firma

Page 412: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

40.00 10.00

200.00 20.00

50.00 50.00

0.00 100.00

295.00 EFECTIVO

8,000.00 CHEQUE 410.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

8,705.00 TOTAL ENTREGADO

8,704.99 REPORTE SISTEMA0.01 SOBRANTE / FALTANTE

ventas 3:total billetes2.00 1.00

62.00 2.00

260.00 5.00

860.00 10.00

120.00 20.00

0.00 50.00

0.00 100.00

1,304.00 EFECTIVO

1,520.02 CHEQUE 194.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

3,018.02 TOTAL ENTREGADO

Page 413: cuadre daniela.xlsx

3,019.00 REPORTE SISTEMA-0.98 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

10.00 2.00

10.00 5.00

150.00 10.00

0.00 20.00

50.00 50.00

300.00 100.00

520.00 EFECTIVO

0.00 CHEQUE 206.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

726.00 TOTAL ENTREGADO726.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 414: cuadre daniela.xlsx

2.00 1.00

0.00 2.00

0.00 5.00

20.00 10.00

680.00 20.00

250.00 50.00

0.00 100.00

952.00 EFECTIVO

0.00 CHEQUE 387.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,339.00 TOTAL ENTREGADO1,339.02 REPORTE SISTEMA

-0.02 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

10.00 5.00

1,090.00 10.00

1,020.00 20.00

650.00 50.00

300.00 100.00

3,072.00 EFECTIVO

1,520.02 CHEQUE 1,197.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,789.02 TOTAL ENTREGADO13,789.01 REPORTE SISTEMA-7,999.99 SOBRANTE / FALTANTE

Page 415: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:25-06-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

4.00 40.00

1.00 20.00

1.00 50.00

1.00 100.00

210.00

0.00488.00

0.00

698.00

698.01-0.01

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00464.98

0.00

464.98

Page 416: cuadre daniela.xlsx

464.980.00

CAJA EVENTUAL,cantidad total

1.00 1.00

1.00 2.00

2.00 10.00

5.00 50.00

0.00 0.00

0.00 0.00

3.00 300.00

363.00

9,224.741,282.99

0.00

10,870.7310,870.70

0.03

QUINTILIOcantidad total

0.00 0.00

2.00 4.00

3.00 15.00

24.00 240.00

16.00 320.00

19.00 950.00

3.00 300.00

1,829.00

0.00980.00

0.00

2,809.002,808.02

0.98

JUAN CARLOScantidad total

Page 417: cuadre daniela.xlsx

0.00 0.00

1.00 2.00

1.00 5.00

0.00 0.00

0.00 0.00

13.00 650.00

0.00 0.00

657.00

0.000.00

10.00 FACTURA DE

667.00661.00

6.00

TOTAL EN VENTAScantidad total

0.00 0.00

4.00 8.00

5.00 25.00

134.00 1,340.00

17.00 340.00

25.00 1,250.00

1.00 100.00

3,063.00

9,224.743,215.97

0.00

15,503.7115,502.71

1.00

Page 418: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:26-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 2.00

2.00 14.00

5.00 4.00

10.00 1.00

20.00 3.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 270.00

20.00 2.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 419: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: CAJA EVENTUAL,billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 48.00

20.00 21.00

50.00 46.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 420: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 326.00

20.00 28.00

50.00 51.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 421: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

2.00 1.00

28.00 2.00

20.00 5.00

10.00 10.00

60.00 20.00

200.00 50.00

0.00 100.00

320.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

320.00 TOTAL ENTREGADO

319.00 REPORTE SISTEMA1.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

2,700.00 10.00

40.00 20.00

50.00 50.00

0.00 100.00

2,790.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

2,790.00 TOTAL ENTREGADO

Page 422: cuadre daniela.xlsx

2,786.00 REPORTE SISTEMA4.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

4.00 2.00

0.00 5.00

480.00 10.00

420.00 20.00

2,300.00 50.00

800.00 100.00

4,004.00 EFECTIVO

3,720.00 CHEQUE 2,376.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,100.00 TOTAL ENTREGADO10,153.01 REPORTE SISTEMA

-53.01 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

2,387.01 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

2,387.01 TOTAL ENTREGADO2,387.01 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 423: cuadre daniela.xlsx

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

4.00 2.00

0.00 5.00

3,260.00 10.00

560.00 20.00

2,550.00 50.00

800.00 100.00

7,174.00 EFECTIVO

6,107.01 CHEQUE 2,376.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

15,657.01 TOTAL ENTREGADO15,645.02 REPORTE SISTEMA

11.99 SOBRANTE / FALTANTE

Page 424: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:27-06-09

Luis portillo cantidad total

5.00 5.00

14.00 28.00

13.00 65.00

9.00 90.00

33.00 660.00

4.00 200.00

0.00 0.00

1,048.00

0.004,160.00

0.00

5,208.00

5,208.53-0.53

Giovanny paezcantidad total

0.00 0.00

34.00 68.00

30.00 150.00

13.00 130.00

65.00 1,300.00

46.00 2,300.00

3.00 300.00

4,248.00

0.002,234.00

0.00

6,482.00

Page 425: cuadre daniela.xlsx

6,476.006.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

1.00 20.00

0.00 0.00

0.00 0.00

30.00

0.00200.00

0.00

230.00230.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 426: cuadre daniela.xlsx

0.00 0.00

1.00 2.00

1.00 5.00

18.00 180.00

12.00 240.00

52.00 2,600.00

0.00 0.00

3,027.00

2,740.00747.00

0.00

6,514.006,511.84

2.16

TOTAL EN VENTAScantidad total

0.00 0.00

4.00 8.00

0.00 0.00

43.00 430.00

16.00 320.00

101.00 5,050.00

3.00 300.00

6,108.00

2,740.007,340.30

0.00

16,188.3016,187.31

0.99

Page 427: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:29-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 4.00

2.00 9.00

5.00 2.00

10.00 1.00

20.00 12.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 11.00

5.00 4.00

10.00 12.00

20.00 32.00

50.00 3.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 428: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 4.00

10.00 2.00

20.00 0.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 429: cuadre daniela.xlsx

1.00 0.00

2.00 1.00

5.00 1.00

10.00 2.00

20.00 11.00

50.00 18.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 73.00

20.00 52.00

50.00 24.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 430: cuadre daniela.xlsx

Gallery Computer, c.a

Ventas 1: total billetes

4.00 1.00

18.00 2.00

10.00 5.00

10.00 10.00

240.00 20.00

100.00 50.00

0.00 100.00

382.00 EFECTIVO

0.00 CHEQUE 999.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,381.00 TOTAL ENTREGADO

1,381.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes1.00 1.00

22.00 2.00

20.00 5.00

120.00 10.00

640.00 20.00

150.00 50.00

400.00 100.00

1,353.00 EFECTIVO

0.00 CHEQUE 414.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

1,767.00 TOTAL ENTREGADO

Page 431: cuadre daniela.xlsx

1,767.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

20.00 5.00

20.00 10.00

0.00 20.00

50.00 50.00

0.00 100.00

90.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

90.00 TOTAL ENTREGADO90.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes

Page 432: cuadre daniela.xlsx

0.00 1.00

2.00 2.00

5.00 5.00

20.00 10.00

220.00 20.00

900.00 50.00

400.00 100.00

1,547.00 EFECTIVO

2,238.00 CHEQUE 962.99 DEBITOS Y/O CREDITO0.00 DEPOSITOS

4,747.99 TOTAL ENTREGADO4,747.64 REPORTE SISTEMA

0.35 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

0.00 5.00

730.00 10.00

1,040.00 20.00

1,200.00 50.00

400.00 100.00

3,372.00 EFECTIVO

2,238.00 CHEQUE 2,375.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,985.99 TOTAL ENTREGADO7,985.64 REPORTE SISTEMA

0.35 SOBRANTE / FALTANTE

Page 433: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:30-06-09

Luis portillo cantidad total

1.00 1.00

0.00 0.00

1.00 5.00

36.00 360.00

4.00 80.00

4.00 200.00

1.00 100.00

746.00

700.004,094.00

0.00

5,540.00

6,150.00-610.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

15.00 150.00

40.00 800.00

47.00 2,350.00

0.00 0.00

3,300.00

3,533.00

0.00

6,833.00

Page 434: cuadre daniela.xlsx

6,214.98618.02

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

JUAN CARLOScantidad total

Page 435: cuadre daniela.xlsx

1.00 1.00

1.00 2.00

16.00 80.00

1.00 10.00

6.00 120.00

23.00 1,150.00

0.00 0.00

1,363.00

0.00452.00

0.00

1,815.001,856.99

-41.99

TOTAL EN VENTAScantidad total

2.00 2.00

2.00 4.00

17.00 85.00

10.00 100.00

2.00 40.00

9.00 450.00

0.00 0.00

681.00

4,233.989,316.00

0.00

14,230.9814,221.97

9.01

Page 436: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:30-06-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 36.00

20.00 4.00

50.00 4.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 15.00

20.00 40.00

50.00 47.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 437: cuadre daniela.xlsx

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

Page 438: cuadre daniela.xlsx

1.00 1.00

2.00 1.00

5.00 16.00

10.00 1.00

20.00 6.00

50.00 23.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 2.00

5.00 17.00

10.00 10.00

20.00 2.00

50.00 9.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 439: cuadre daniela.xlsx

total1.00

0.00

5.00

360.00

80.00

200.00

100.00

746.00

700.004,094.00

0.00

5,540.00

6,150.00-610.00

total0.00

0.00

0.00

150.00

800.00

2,350.00

0.00

3,300.00

3,533.00

0.00

6,833.00

Page 440: cuadre daniela.xlsx

6,214.98618.02

total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.000.000.00

0.000.000.00

total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.000.000.00

0.000.000.00

total

Page 441: cuadre daniela.xlsx

1.00

2.00

80.00

10.00

120.00

1,150.00

0.00

1,363.00

0.00452.000.00

1,815.001,856.99

-41.99

TOTAL EN VENTAStotal2.00

4.00

85.00

100.00

40.00

450.00

0.00

681.00

4,233.989,316.00

0.00

14,230.9814,221.97

9.01

Page 442: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:01-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 24.00

50.00 35.00

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

SE RETIRARON 3545,01 PARA LA REPOSICION DE CAJA CHICA

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 1.00

5.00 5.00

10.00 14.00

20.00 13.00

50.00 9.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 443: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 444: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 90.00

20.00 1.00

50.00 12.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 5.00

10.00 7.00

20.00 37.00

50.00 29.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

480.00 20.00

1,750.00 50.00

1,100.00 100.00

3,346.00 EFECTIVO

2,412.00 CHEQUE 5,560.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

11,318.00 TOTAL ENTREGADO

11,318.01 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

SE RETIRARON 3545,01 PARA LA REPOSICION DE CAJA CHICA

ventas 3:total billetes1.00 1.00

2.00 2.00

25.00 5.00

140.00 10.00

260.00 20.00

450.00 50.00

0.00 100.00

878.00 EFECTIVO

2,645.00 CHEQUE

1,543.00 DEBITOS Y/O CREDITO

Page 448: cuadre daniela.xlsx

0.00 DEPOSITOS

5,066.00 TOTAL ENTREGADO5,068.96 REPORTE SISTEMA

-2.96 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

20.00 20.00

50.00 50.00

0.00 100.00

80.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

80.00 TOTAL ENTREGADO80.01 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 449: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

900.00 10.00

20.00 20.00

600.00 50.00

0.00 100.00

1,520.00 EFECTIVO

0.00 CHEQUE

1,828.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,348.00 TOTAL ENTREGADO3,353.00 REPORTE SISTEMA

-5.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

2.00 2.00

25.00 5.00

70.00 10.00

740.00 20.00

1,450.00 50.00

0.00 100.00

2,288.00 EFECTIVO

5,057.00 CHEQUE

8,931.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

16,276.00 TOTAL ENTREGADO16,274.97 REPORTE SISTEMA

1.03 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:02-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

5.00 25.00

35.00 350.00

23.00 460.00

55.00 2,750.00

3.00 300.00

3,885.00

0.003,940.00

0.00

7,825.00

7,823.021.98

Giovanny paezcantidad total

0.00 0.00

5.00 10.00

17.00 85.00

3.00 30.00

19.00 380.00

4.00 200.00

0.00 0.00

705.00

0.00

622.00

Page 453: cuadre daniela.xlsx

0.00

1,327.001,327.00

0.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

0.00 0.00

0.00 0.00

7.00 700.00

710.00

0.00

0.00

0.00

710.00710.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 454: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

0.00 0.00

2.00 10.00

28.00 280.00

24.00 480.00

8.00 400.00

1.00 100.00

1,270.00

1,205.00

1,762.00

0.00

4,237.004,236.99

0.01

TOTAL EN VENTAScantidad total

0.00 0.00

2.00 4.00

1.00 5.00

71.00 710.00

70.00 1,400.00

67.00 3,350.00

11.00 1,100.00

6,569.00

1,205.00

6,324.00

0.00

14,098.0014,097.01

0.99

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Gallery Computer, c.a

Fecha:03-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 3.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 18.00

10.00 22.00

20.00 12.00

50.00 20.00

100.00 5.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 458: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 459: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 5.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 28.00

20.00 24.00

50.00 28.00

100.00 5.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

60.00 20.00

150.00 50.00

0.00 100.00

215.00 EFECTIVO

4,465.00 CHEQUE 1,485.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,165.00 TOTAL ENTREGADO

6,165.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

90.00 5.00

220.00 10.00

240.00 20.00

1,000.00 50.00

500.00 100.00

2,050.00 EFECTIVO

0.00 CHEQUE

6,599.01 DEBITOS Y/O CREDITO

Page 463: cuadre daniela.xlsx

0.00 DEPOSITOS

8,649.01 TOTAL ENTREGADO8,649.04 REPORTE SISTEMA

-0.03 UNA DEVOLUC SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

20.00 20.00

50.00 50.00

0.00 100.00

70.00 EFECTIVO

0.00 CHEQUE

250.00 DEBITOS Y/O CREDITO

30.00 VIATICO DEPOSITOS

350.00 TOTAL ENTREGADO380.00 REPORTE SISTEMA-30.00 el dice que se SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 464: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

100.00 20.00

150.00 50.00

0.00 100.00

260.00 EFECTIVO

0.00 CHEQUE

1,872.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,132.99 TOTAL ENTREGADO2,137.00 REPORTE SISTEMA

-4.01 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

280.00 10.00

480.00 20.00

1,400.00 50.00

500.00 100.00

2,660.00 EFECTIVO

4,465.00 CHEQUE

10,206.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

17,331.99 TOTAL ENTREGADO17,331.04 REPORTE SISTEMA

0.95 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:04-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.002,397.00

2,326.00

4,723.00

4,722.990.01

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

6,179.00

Page 468: cuadre daniela.xlsx

2,883.00

9,062.008,970.01

91.99

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

1.00 20.00

1.00 50.00

0.00 0.00

70.00

0.00

160.00

0.00

230.00235.00

-5.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 469: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

2,907.00

2,260.00

5,167.005,256.97

-89.97

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

1.00 20.00

1.00 50.00

0.00 0.00

70.00

0.00

11,643.00

9,465.00

21,178.0019,184.97

1,993.03

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Gallery Computer, c.a

Fecha:06-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 473: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 474: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

3,855.00 CHEQUE 717.00 DEBITOS Y/O CREDITO

976.00 DEPOSITOS

5,548.00 TOTAL ENTREGADO

5,548.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

1,788.05 CHEQUE

3,579.99 DEBITOS Y/O CREDITO

Page 478: cuadre daniela.xlsx

5,385.00 DEPOSITOS

10,753.04 TOTAL ENTREGADO10,727.02 REPORTE SISTEMA

26.02 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 479: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

2,062.00 CHEQUE

2,122.99 DEBITOS Y/O CREDITO

3,700.00 DEPOSITOS

7,884.99 TOTAL ENTREGADO7,905.98 REPORTE SISTEMA

-20.99 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

6,419.98 DEBITOS Y/O CREDITO

20,166.05 DEPOSITOS

26,586.03 TOTAL ENTREGADO24,181.00 REPORTE SISTEMA

2,405.03 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:07-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.00

0.00

0.00

0.000.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

Page 483: cuadre daniela.xlsx

0.00

0.000.000.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.000.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 484: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

0.00

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Page 487: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:08-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 488: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 489: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO

0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

Page 493: cuadre daniela.xlsx

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 494: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:09-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.00

0.00

0.00

0.000.00

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

Page 498: cuadre daniela.xlsx

0.00

0.000.000.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.000.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 499: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

0.00

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Gallery Computer, c.a

Fecha:10-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 17.00

20.00 5.00

50.00 19.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 99.00

20.00 154.00

50.00 20.00

100.00 17.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 503: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 504: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 49.00

20.00 11.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 167.00

20.00 170.00

50.00 42.00

100.00 17.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

170.00 10.00

100.00 20.00

950.00 50.00

0.00 100.00

1,225.00 EFECTIVO

1,931.25 CHEQUE 2,477.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,633.25 TOTAL ENTREGADO

5,637.28 REPORTE SISTEMA-4.03 SOBRANTE / FALTANTE

ventas 3:total billetes0.00 1.00

2.00 2.00

5.00 5.00

990.00 10.00

3,080.00 20.00

1,000.00 50.00

1,700.00 100.00

6,777.00 EFECTIVO

1,392.99 CHEQUE

2,392.00 DEBITOS Y/O CREDITO

Page 508: cuadre daniela.xlsx

0.00 DEPOSITOS

10,561.99 TOTAL ENTREGADO10,550.98 REPORTE SISTEMA

11.01 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 509: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

490.00 10.00

220.00 20.00

150.00 50.00

0.00 100.00

860.00 EFECTIVO

0.00 CHEQUE

185.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,045.00 TOTAL ENTREGADO1,050.98 REPORTE SISTEMA

-5.98 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

1,670.00 10.00

3,400.00 20.00

2,100.00 50.00

1,700.00 100.00

8,870.00 EFECTIVO

3,324.24 CHEQUE

5,046.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

17,240.24 TOTAL ENTREGADO17,239.24 REPORTE SISTEMA

1.00 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:11-07-09

Luis portillo cantidad total

1.00 1.00

0.00 0.00

0.00 0.00

9.00 90.00

42.00 840.00

38.00 1,900.00

3.00 300.00

3,131.00

0.006,776.00

0.00

9,907.00

9,905.021.98

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

3.00 30.00

16.00 320.00

15.00 750.00

1.00 100.00

1,200.00

0.00

1,096.00

Page 513: cuadre daniela.xlsx

0.00

2,296.002,317.01

-21.01

quintiliocantidad total

0.00 0.00

0.00 0.00

1.00 5.00

3.00 30.00

1.00 20.00

1.00 50.00

1.00 100.00

205.00

0.00

0.00

0.00

205.00205.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 514: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

1.00 2.00

0.00 0.00

26.00 260.00

15.00 300.00

16.00 800.00

9.00 900.00

2,262.00

0.00

9,405.00

0.00

11,667.0011,668.50

-1.50

TOTAL EN VENTAScantidad total

1.00 1.00

1.00 2.00

1.00 5.00

41.00 410.00

75.00 1,500.00

70.00 3,500.00

14.00 1,400.00

6,818.00

0.00

17,277.00

0.50

24,095.5024,095.53

-0.03

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Gallery Computer, c.a

Fecha:13-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 11.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 21.00

20.00 38.00

50.00 4.00

100.00 7.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 518: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 5.00

50.00 5.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 519: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 6.00

50.00 19.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 19.00

20.00 50.00

50.00 40.00

100.00 7.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

2.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

550.00 50.00

0.00 100.00

553.00 EFECTIVO

0.00 CHEQUE 1,784.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,337.00 TOTAL ENTREGADO

2,337.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 3:total billetes1.00 1.00

2.00 2.00

5.00 5.00

210.00 10.00

760.00 20.00

200.00 50.00

700.00 100.00

1,878.00 EFECTIVO

2,075.00 CHEQUE

2,110.00 DEBITOS Y/O CREDITO

Page 523: cuadre daniela.xlsx

una dev de 245 DEPOSITOS

6,063.00 TOTAL ENTREGADO6,063.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

100.00 20.00

250.00 50.00

0.00 100.00

355.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

355.00 TOTAL ENTREGADO355.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 524: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes1.00 1.00

0.00 2.00

5.00 5.00

30.00 10.00

120.00 20.00

950.00 50.00

0.00 100.00

1,106.00 EFECTIVO

0.00 CHEQUE

1,186.00 DEBITOS Y/O CREDITO

3,192.00 retencion de DEPOSITOS

5,484.00 TOTAL ENTREGADO5,483.97 REPORTE SISTEMA

0.03 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

0.00 5.00

190.00 10.00

1,000.00 20.00

2,000.00 50.00

700.00 100.00

3,892.00 EFECTIVO

2,075.00 CHEQUE

5,080.00 DEBITOS Y/O CREDITO

3,192.00 RETENCION DEPOSITOS

14,239.00 TOTAL ENTREGADO14,238.98 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:14-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.00

0.00

0.00

0.000.00

Giovanny paezcantidad total

0.00 0.00

3.00 6.00

0.00 0.00

4.00 40.00

49.00 980.00

33.00 1,650.00

0.00 0.00

2,676.00

0.00

1,632.00

Page 528: cuadre daniela.xlsx

0.00

4,308.004,308.01

-0.01

quintiliocantidad total

0.00 0.00

0.00 0.00

1.00 5.00

31.00 310.00

1.00 20.00

0.00 0.00

0.00 0.00

335.00

0.00

0.00

0.00

335.00335.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 529: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

1.00 2.00

3.00 15.00

5.00 50.00

32.00 640.00

80.00 4,000.00

3.00 300.00

5,007.00

3,540.62

590.00

1,199.00 RETENCION N

10,336.6210,353.59

-16.97 (376)este fa

TOTAL EN VENTAScantidad total

1.00 1.00

2.00 4.00

4.00 20.00

39.00 390.00

84.00 1,680.00

122.00 6,100.00

2.00 200.00

8,395.00

3,540.62

2,222.00

1,199.00 RETENCION

15,356.6215,356.60

0.02

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Gallery Computer, c.a

Fecha:15-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 12.00

20.00 146.00

50.00 39.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 3: Giovanni paezbilletes cantidad

1.00 3.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 58.00

50.00 18.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 533: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 534: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 19.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 38.00

20.00 105.00

50.00 34.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

120.00 10.00

2,920.00 20.00

1,950.00 50.00

400.00 100.00

5,395.00 EFECTIVO

4,278.00 CHEQUE 537.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,210.00 TOTAL ENTREGADO

10,209.97 REPORTE SISTEMA0.03 SOBRANTE / FALTANTE

VENTA 3:total billetes3.00 1.00

0.00 2.00

0.00 5.00

70.00 10.00

1,160.00 20.00

900.00 50.00

0.00 100.00

2,133.00 EFECTIVO

776.95 CHEQUE

3,270.99 DEBITOS Y/O CREDITO

Page 538: cuadre daniela.xlsx

0.00 DEPOSITOS

6,180.94 TOTAL ENTREGADO6,206.89 REPORTE SISTEMA

-25.95 ya se paso a SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

20.00 20.00

0.00 50.00

0.00 100.00

30.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

30.00 TOTAL ENTREGADO30.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 539: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

190.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

190.00 EFECTIVO

170.00 CHEQUE

3,056.85 DEBITOS Y/O CREDITO

DEPOSITOS

3,416.85 TOTAL ENTREGADO3,939.87 REPORTE SISTEMA

-523.02 ya se paso a SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

5.00 5.00

380.00 10.00

2,100.00 20.00

1,700.00 50.00

0.00 100.00

4,187.00 EFECTIVO

5,224.95 CHEQUE

6,865.81 DEBITOS Y/O CREDITO

DEPOSITOS

16,277.76 TOTAL ENTREGADO16,826.60 REPORTE SISTEMA

-548.84 SOBRANTE / FALTANTE

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Page 542: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:16-07-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

6.00 60.00

41.00 820.00

3.00 150.00

2.00 200.00

1,235.00

627.00728.00

0.00

2,590.00

2,587.982.02

GIOVANNI PAEZcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

42.00 420.00

33.00 660.00

34.00 1,700.00

4.00 400.00

3,180.00

0.00

800.01

Page 543: cuadre daniela.xlsx

0.00

3,980.013,978.32

1.69

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

4.00 80.00

0.00 0.00

1.00 100.00

180.00

0.00

0.00

0.00

180.00180.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 544: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

23.00 230.00

32.00 640.00

7.00 350.00

4.00 400.00

1,620.00

5,725.42

1,793.00

60.00 PARA EL PSP

9,198.429,198.42

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

1.00 5.00

58.00 580.00

79.00 1,580.00

10.00 500.00

6.00 600.00

3,265.00

6,352.42

3,321.00

0.00

12,938.4212,935.73

2.69

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Gallery Computer, c.a

Fecha:17-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 7.00

50.00 4.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

VENTA 3: GIOVANNI PAEZbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 30.00

50.00 25.00

100.00 1.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 548: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 549: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 39.00

50.00 12.00

100.00 1.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 77.00

50.00 41.00

100.00 4.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

140.00 20.00

200.00 50.00

200.00 100.00

555.00 EFECTIVO

4,430.00 CHEQUE 0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

4,985.00 TOTAL ENTREGADO

4,984.97 REPORTE SISTEMA0.03 SOBRANTE / FALTANTE

VENTA 3:total billetes0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

600.00 20.00

1,250.00 50.00

100.00 100.00

1,955.00 EFECTIVO

0.00 CHEQUE

1,892.00 DEBITOS Y/O CREDITO

Page 553: cuadre daniela.xlsx

0.00 DEPOSITOS

3,847.00 TOTAL ENTREGADO3,850.01 REPORTE SISTEMA

-3.01 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

610.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

610.00 TOTAL ENTREGADO610.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 554: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

780.00 20.00

600.00 50.00

100.00 100.00

1,490.00 EFECTIVO

0.00 CHEQUE

2,049.00 DEBITOS Y/O CREDITO

DEPOSITOS

3,539.00 TOTAL ENTREGADO3,536.98 REPORTE SISTEMA

2.02 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

1,540.00 20.00

2,050.00 50.00

400.00 100.00

4,000.00 EFECTIVO

4,430.00 CHEQUE

4,551.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

12,981.00 TOTAL ENTREGADO12,981.97 REPORTE SISTEMA

-0.97 SOBRANTE / FALTANTE

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Gallery Computer, c.a

Fecha:18-07-09

Luis portillo cantidad total

2.00 2.00

1.00 2.00

0.00 0.00

6.00 60.00

1.00 20.00

42.00 2,100.00

0.00 0.00

2,184.00

4,811.001,170.00

0.00

8,165.00

8,164.960.04

GIOVANNI PAEZcantidad total

0.00 0.00

3.00 6.00

1.00 5.00

82.00 820.00

51.00 1,020.00

51.00 2,550.00

7.00 700.00

5,101.00

5,120.00

1,215.00

Page 558: cuadre daniela.xlsx

10.00 factura del a

11,446.0011,446.98

-0.98

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

2.00 40.00

1.00 50.00

0.00 0.00

90.00

0.00

106.00

0.00

196.00196.00

0.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 559: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

0.00 0.00

2.00 4.00

0.00 0.00

1.00 10.00

8.00 160.00

94.00 4,700.00

2.00 200.00

5,074.00

0.00

5,956.00

0.00

11,030.0011,030.99

-0.99

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

0.00 0.00

84.00 840.00

66.00 1,320.00

188.00 9,400.00

9.00 900.00

12,460.00

9,931.00

8,447.00

0.00

30,838.0030,838.93

-0.93

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Gallery Computer, c.a

Fecha:20-07-09

Ventas 1: Luis portillo billetes cantidad

1.00 2.00

2.00 7.00

5.00 22.00

10.00 136.00

20.00 81.00

50.00 32.00

100.00 22.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

VENTA 3: GIOVANNI PAEZbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 28.00

20.00 32.00

50.00 9.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

Page 563: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 4: quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 12.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5: DORFRANbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

Page 564: cuadre daniela.xlsx

SOBRANTE / FALTANTE

VENTA 6: JUAN CARLOSbilletes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 4.00

50.00 5.00

100.00 2.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 167.00

20.00 130.00

50.00 49.00

100.00 24.00

EFECTIVO

CHEQUE

DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

SOBRANTE / FALTANTE

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Gallery Computer, c.a

Ventas 1: total billetes

2.00 1.00

14.00 2.00

110.00 5.00

1,360.00 10.00

1,620.00 20.00

1,600.00 50.00

2,200.00 100.00

6,906.00 EFECTIVO

0.00 CHEQUE 1,206.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,112.00 TOTAL ENTREGADO

8,109.98 REPORTE SISTEMA2.02 SOBRANTE / FALTANTE

VENTA 3:total billetes0.00 1.00

2.00 2.00

5.00 5.00

280.00 10.00

640.00 20.00

450.00 50.00

0.00 100.00

1,377.00 EFECTIVO

0.00 CHEQUE

3,613.99 DEBITOS Y/O CREDITO

Page 568: cuadre daniela.xlsx

0.00 DEPOSITOS

4,990.99 TOTAL ENTREGADO4,990.99 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 4:total billetes0.00 1.00

0.00 2.00

0.00 5.00

50.00 10.00

240.00 20.00

0.00 50.00

0.00 100.00

290.00 EFECTIVO

0.00 CHEQUE

60.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

350.00 TOTAL ENTREGADO347.97 REPORTE SISTEMA

2.03 SOBRANTE / FALTANTE

ventas 5:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE

0.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA

Page 569: cuadre daniela.xlsx

0.00 SOBRANTE / FALTANTE

VENTA 6:total billetes1.00 1.00

0.00 2.00

0.00 5.00

20.00 10.00

80.00 20.00

250.00 50.00

200.00 100.00

551.00 EFECTIVO

271.99 CHEQUE

188.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,010.99 TOTAL ENTREGADO1,015.00 REPORTE SISTEMA

-4.01 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

4.00 2.00

0.00 5.00

1,670.00 10.00

2,600.00 20.00

2,450.00 50.00

2,400.00 100.00

9,124.00 EFECTIVO

271.99 CHEQUE

5,067.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

14,463.98 TOTAL ENTREGADO14,463.94 REPORTE SISTEMA

0.04 SOBRANTE / FALTANTE

Page 570: cuadre daniela.xlsx
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Page 572: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:21-07-09

Luis portillo cantidad total

0.00 0.00

1.00 2.00

8.00 40.00

12.00 120.00

37.00 740.00

94.00 4,700.00

1.00 100.00

5,702.00

0.001,311.00

0.00

7,013.00

7,012.020.98

GIOVANNI PAEZcantidad total

1.00 1.00

2.00 4.00

1.00 5.00

10.00 100.00

12.00 240.00

22.00 1,100.00

3.00 300.00

1,750.00

215.00

721.99

Page 573: cuadre daniela.xlsx

0.00

2,686.992,686.99

0.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.000.00

DORFRANcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00

0.00

0.00

0.000.00

Page 574: cuadre daniela.xlsx

0.00

JUAN CARLOScantidad total

1.00 1.00

0.00 0.00

0.00 0.00

0.00 0.00

34.00 680.00

11.00 550.00

0.00 0.00

1,231.00

0.00

5,998.00

0.00

7,229.007,240.00

-11.00 YA SE LE PAS

TOTAL EN VENTAScantidad total

2.00 2.00

1.00 2.00

0.00 0.00

21.00 210.00

84.00 1,680.00

128.00 6,400.00

4.00 400.00

8,694.00

215.00

8,030.99

0.00

16,939.9916,939.01

0.98

Page 575: cuadre daniela.xlsx
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Page 577: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:22-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 3.00 3.00

2.00 2.00 4.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 36.00 720.00

50.00 25.00 1,250.00

100.00 2.00 200.00

EFECTIVO 2,187.00

CHEQUE 1,860.01DEBITOS Y/O CREDITO 403.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,450.01

REPORTE SISTEMA 4,450.01SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 12.00 120.00

20.00 18.00 360.00

50.00 12.00 600.00

100.00 0.00 0.00

EFECTIVO 1,088.00

CHEQUE 380.00DEBITOS Y/O CREDITO 2,224.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,692.00

Page 578: cuadre daniela.xlsx

REPORTE SISTEMA 3,691.00SOBRANTE / FALTANTE 1.00

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 10.00 100.00

20.00 3.00 60.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 160.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 160.00REPORTE SISTEMA 160.00SOBRANTE / FALTANTE 0.00

ventas: 4 dorfranbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 579: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

5.00 2.00 10.00

10.00 8.00 80.00

20.00 22.00 440.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 835.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,544.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,379.00REPORTE SISTEMA 3,378.04SOBRANTE / FALTANTE 0.96

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 28.00 280.00

20.00 77.00 1,540.00

50.00 45.00 2,250.00

100.00 2.00 200.00

EFECTIVO 4,270.00

CHEQUE 2,240.01DEBITOS Y/O CREDITO 5,171.00

DEPOSITOS 0.00

TOTAL ENTREGADO 11,681.01REPORTE SISTEMA 11,679.05SOBRANTE / FALTANTE 1.96

Page 580: cuadre daniela.xlsx
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Page 582: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:23-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 31.00 310.00

20.00 36.00 720.00

50.00 8.00 400.00

100.00 0.00 0.00

EFECTIVO 1,431.00

CHEQUE 3,360.00DEBITOS Y/O CREDITO 1,706.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,497.00

REPORTE SISTEMA 6,505.17SOBRANTE / FALTANTE -8.17

ventas 2: giovanni paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 18.00 360.00

50.00 16.00 800.00

100.00 3.00 300.00

EFECTIVO 1,515.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,026.00

DEPOSITOS 110.00

TOTAL ENTREGADO 2,651.00

Page 583: cuadre daniela.xlsx

REPORTE SISTEMA 2,650.98SOBRANTE / FALTANTE 0.02

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 9.00 90.00

20.00 7.00 140.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 440.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 440.00REPORTE SISTEMA 440.00SOBRANTE / FALTANTE 0.00

ventas: 4 dorfranbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 584: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 20.00 400.00

50.00 24.00 1,200.00

100.00 0.00 0.00

EFECTIVO 1,614.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,222.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,836.00REPORTE SISTEMA 2,843.99SOBRANTE / FALTANTE -7.99

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 44.00 440.00

20.00 79.00 1,580.00

50.00 56.00 2,800.00

100.00 3.00 300.00

EFECTIVO 5,127.00

CHEQUE 3,360.00DEBITOS Y/O CREDITO 3,954.00

DEPOSITOS 0.00

TOTAL ENTREGADO 12,441.00REPORTE SISTEMA 12,440.14SOBRANTE / FALTANTE 0.86

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Page 587: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:24-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 6.00 60.00

20.00 4.00 80.00

50.00 61.00 3,050.00

100.00 1.00 100.00

EFECTIVO 3,290.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,350.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,640.00

Page 588: cuadre daniela.xlsx

REPORTE SISTEMA 4,647.00SOBRANTE / FALTANTE -7.00

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas: 4 dorfranbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 589: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 12.00 120.00

20.00 200.00 4,000.00

50.00 17.00 850.00

100.00 0.00 0.00

EFECTIVO 4,977.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,048.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,025.00REPORTE SISTEMA 6,022.95SOBRANTE / FALTANTE 2.05

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 19.00 190.00

20.00 204.00 4,080.00

50.00 78.00 3,900.00

100.00 1.00 100.00

EFECTIVO 8,272.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,398.00

DEPOSITOS 0.00

TOTAL ENTREGADO 10,670.00REPORTE SISTEMA 10,669.95SOBRANTE / FALTANTE 0.05

Page 590: cuadre daniela.xlsx
Page 591: cuadre daniela.xlsx
Page 592: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:25-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 21.00 210.00

20.00 19.00 380.00

50.00 24.00 1,200.00

100.00 0.00 0.00

EFECTIVO 1,797.00

CHEQUE 270.00DEBITOS Y/O CREDITO 3,015.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,082.00

REPORTE SISTEMA 5,082.00SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 160.00

CHEQUE 0.00DEBITOS Y/O CREDITO 325.00

DEPOSITOS 0.00

TOTAL ENTREGADO 485.00

Page 593: cuadre daniela.xlsx

REPORTE SISTEMA 485.00SOBRANTE / FALTANTE 0.00

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas: 4 dorfranbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 594: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 0.00 0.00

2.00 4.00 8.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 32.00 640.00

50.00 7.00 350.00

100.00 1.00 100.00

EFECTIVO 1,108.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,325.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,433.00REPORTE SISTEMA 3,432.06SOBRANTE / FALTANTE 0.94

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 15.00 150.00

20.00 53.00 1,060.00

50.00 37.00 1,850.00

100.00 0.00 0.00

EFECTIVO 3,064.00

CHEQUE 270.00DEBITOS Y/O CREDITO 5,665.00

DEPOSITOS 0.00

TOTAL ENTREGADO 8,999.00REPORTE SISTEMA 8,999.06SOBRANTE / FALTANTE -0.06

Page 595: cuadre daniela.xlsx
Page 596: cuadre daniela.xlsx
Page 597: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:27-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 18.00 180.00

20.00 31.00 620.00

50.00 28.00 1,400.00

100.00 1.00 100.00

EFECTIVO 2,304.00

CHEQUE 0.00DEBITOS Y/O CREDITO 4,005.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,309.00

REPORTE SISTEMA 6,309.19SOBRANTE / FALTANTE -0.19

ventas 2: giovanni paezbilletes cantidad total

1.00 3.00 3.00

2.00 5.00 10.00

5.00 10.00 50.00

10.00 4.00 40.00

20.00 15.00 300.00

50.00 28.00 1,400.00

100.00 0.00 0.00

EFECTIVO 1,803.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,572.01

DEPOSITOS 0.00

TOTAL ENTREGADO 5,375.01

Page 598: cuadre daniela.xlsx

REPORTE SISTEMA 5,374.97SOBRANTE / FALTANTE 0.04

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas: 4 dorfranbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 599: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 14.00 280.00

50.00 12.00 600.00

100.00 0.00 0.00

EFECTIVO 891.00

CHEQUE 326.48DEBITOS Y/O CREDITO 1,042.01

DEPOSITOS 0.00

TOTAL ENTREGADO 2,259.49REPORTE SISTEMA 2,257.49SOBRANTE / FALTANTE 2.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 3.00 6.00

5.00 0.00 0.00

10.00 19.00 190.00

20.00 60.00 1,200.00

50.00 68.00 3,400.00

100.00 2.00 200.00

EFECTIVO 4,997.00

CHEQUE 326.48DEBITOS Y/O CREDITO 8,619.02

DEPOSITOS 0.00

TOTAL ENTREGADO 13,942.50REPORTE SISTEMA 13,941.65SOBRANTE / FALTANTE 0.85

Page 600: cuadre daniela.xlsx
Page 601: cuadre daniela.xlsx
Page 602: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:28-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 17.00 170.00

20.00 16.00 320.00

50.00 12.00 600.00

100.00 2.00 200.00

EFECTIVO 1,292.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,017.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,309.00

REPORTE SISTEMA 2,308.99SOBRANTE / FALTANTE 0.01

ventas 2: giovanni paezbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 5.00 25.00

10.00 16.00 160.00

20.00 41.00 820.00

50.00 8.00 400.00

100.00 0.00 0.00

EFECTIVO 1,407.00

CHEQUE 602.00DEBITOS Y/O CREDITO 1,665.00

DEPOSITOS 2,880.00

TOTAL ENTREGADO 6,554.00

Page 603: cuadre daniela.xlsx

REPORTE SISTEMA 6,555.03SOBRANTE / FALTANTE -1.03

ventas 3: quintilio andradebilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 13.00 260.00

50.00 14.00 700.00

100.00 0.00 0.00

EFECTIVO 966.00

CHEQUE 0.00DEBITOS Y/O CREDITO 200.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,166.00REPORTE SISTEMA 1,416.00SOBRANTE / FALTANTE -250.00

ventas 6 nolbysbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 12.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 12.00REPORTE SISTEMA 12.00SOBRANTE / FALTANTE 0.00

Page 604: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 3.00 3.00

2.00 3.00 6.00

5.00 1.00 5.00

10.00 19.00 190.00

20.00 0.00 0.00

50.00 7.00 350.00

100.00 2.00 200.00

EFECTIVO 754.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,495.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,249.00REPORTE SISTEMA 2,249.98SOBRANTE / FALTANTE -0.98

TOTAL EN VENTASbilletes cantidad total

1.00 6.00 6.00

2.00 6.00 12.00

5.00 1.00 5.00

10.00 51.00 510.00

20.00 70.00 1,400.00

50.00 42.00 2,100.00

100.00 4.00 400.00

EFECTIVO 4,433.00

CHEQUE 602.00DEBITOS Y/O CREDITO 4,377.00

DEPOSITOS 3,130.00 2880 es de la

TOTAL ENTREGADO 12,542.00REPORTE SISTEMA 12,542.00SOBRANTE / FALTANTE 0.00

Page 605: cuadre daniela.xlsx
Page 606: cuadre daniela.xlsx
Page 607: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:29-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 145.00 2,900.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 2,965.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,965.00

REPORTE SISTEMA 2,965.00SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 3.00 15.00

10.00 0.00 0.00

20.00 10.00 200.00

50.00 13.00 650.00

100.00 0.00 0.00

EFECTIVO 865.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,026.98

DEPOSITOS 0.00

TOTAL ENTREGADO 2,891.98

Page 608: cuadre daniela.xlsx

REPORTE SISTEMA 2,891.99SOBRANTE / FALTANTE -0.01

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 6.00 120.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 132.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 132.00REPORTE SISTEMA 131.98SOBRANTE / FALTANTE 0.02

ventas 5 gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 13.00 130.00

20.00 11.00 220.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 659.00

CHEQUE 0.00DEBITOS Y/O CREDITO 712.03

DEPOSITOS 0.00

TOTAL ENTREGADO 1,371.03REPORTE SISTEMA 1,371.04SOBRANTE / FALTANTE -0.01

Page 609: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 4.00 40.00

20.00 106.00 2,120.00

50.00 9.00 450.00

100.00 1.00 100.00

EFECTIVO 2,717.00

CHEQUE 0.00DEBITOS Y/O CREDITO 958.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,675.00REPORTE SISTEMA 3,675.01SOBRANTE / FALTANTE -0.01

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 12.00 120.00

20.00 75.00 1,500.00

50.00 15.00 750.00

100.00 2.00 200.00

EFECTIVO 2,581.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,697.01

DEPOSITOS 0.00

TOTAL ENTREGADO 6,278.01REPORTE SISTEMA 6,278.02SOBRANTE / FALTANTE -0.01

Page 610: cuadre daniela.xlsx
Page 611: cuadre daniela.xlsx
Page 612: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:30-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 3.00 3.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 35.00 350.00

20.00 3.00 60.00

50.00 44.00 2,200.00

100.00 0.00 0.00

EFECTIVO 2,618.00

CHEQUE 135.00DEBITOS Y/O CREDITO 2,656.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,409.00

REPORTE SISTEMA 5,409.00SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 5.00 25.00

10.00 25.00 250.00

20.00 3.00 60.00

50.00 32.00 1,600.00

100.00 4.00 400.00

EFECTIVO 2,335.00

CHEQUE 3,000.00DEBITOS Y/O CREDITO 2,650.00 de un credi fa

DEPOSITOS 0.00

TOTAL ENTREGADO 7,985.00

Page 613: cuadre daniela.xlsx

REPORTE SISTEMA 7,984.04SOBRANTE / FALTANTE 0.96

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 5.00 250.00

100.00 1.00 100.00

EFECTIVO 385.00

CHEQUE 0.00DEBITOS Y/O CREDITO 78.00

DEPOSITOS 0.00

TOTAL ENTREGADO 463.00REPORTE SISTEMA 463.00SOBRANTE / FALTANTE 0.00

ventas 5 gaulizbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 13.00 130.00

20.00 8.00 160.00

50.00 28.00 1,400.00

100.00 1.00 100.00

EFECTIVO 1,798.00

CHEQUE 0.00DEBITOS Y/O CREDITO 665.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,463.00REPORTE SISTEMA 2,464.09SOBRANTE / FALTANTE -1.09

Page 614: cuadre daniela.xlsx

VENTAS 6 juan carlosbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 14.00 140.00

20.00 4.00 80.00

50.00 4.00 200.00

100.00 1.00 100.00

EFECTIVO 520.00

CHEQUE 2,065.00DEBITOS Y/O CREDITO 6,230.01

DEPOSITOS 0.00

TOTAL ENTREGADO 8,815.01REPORTE SISTEMA 8,809.51SOBRANTE / FALTANTE 5.50

VENTAS 7 GERENCIAbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 14.00

CHEQUE 0.00DEBITOS Y/O CREDITO 124.00

DEPOSITOS 0.00

TOTAL ENTREGADO 138.00REPORTE SISTEMA 138.88SOBRANTE / FALTANTE -0.88

TOTAL EN VENTASbilletes cantidad total

1.00 3.00 3.00

2.00 1.00 2.00

5.00 6.00 30.00

Page 615: cuadre daniela.xlsx

10.00 188.00 1,880.00

20.00 70.00 1,400.00

50.00 81.00 4,050.00

100.00 3.00 300.00

EFECTIVO 7,665.00

CHEQUE 5,200.00DEBITOS Y/O CREDITO 9,753.01

DEPOSITOS 2,650.00

TOTAL ENTREGADO 25,268.01REPORTE SISTEMA 25,268.52SOBRANTE / FALTANTE -0.51

Page 616: cuadre daniela.xlsx
Page 617: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:31-07-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 9.00 45.00

10.00 114.00 1,140.00

20.00 10.00 200.00

50.00 8.00 400.00

100.00 0.00 0.00

EFECTIVO 1,787.00

CHEQUE 3,550.00DEBITOS Y/O CREDITO 770.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,107.00

REPORTE SISTEMA 6,107.00SOBRANTE / FALTANTE 0.00

ventas 2: giovanni paezbilletes cantidad total

1.00 3.00 3.00

2.00 3.00 6.00

5.00 2.00 10.00

10.00 5.00 50.00

20.00 3.00 60.00

50.00 40.00 2,000.00

100.00 3.00 300.00

EFECTIVO 2,429.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,305.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,734.00

Page 618: cuadre daniela.xlsx

REPORTE SISTEMA 5,734.01SOBRANTE / FALTANTE -0.01

ventas 3: quintilio andradebilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 4.00 80.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 90.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 90.00REPORTE SISTEMA 90.00SOBRANTE / FALTANTE 0.00

ventas 5 gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 7.00 70.00

20.00 18.00 360.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 730.00

CHEQUE 3,145.00DEBITOS Y/O CREDITO 1,429.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,304.00REPORTE SISTEMA 5,299.01SOBRANTE / FALTANTE 4.99

Page 619: cuadre daniela.xlsx

TOTAL EN VENTAS juan carlosbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 9.00 90.00

20.00 1.00 20.00

50.00 4.00 200.00

100.00 2.00 200.00

EFECTIVO 511.00

CHEQUE 0.00DEBITOS Y/O CREDITO 165.00

DEPOSITOS 0.00

TOTAL ENTREGADO 676.00REPORTE SISTEMA 676.01SOBRANTE / FALTANTE -0.01

TOTAL EN VENTASbilletes cantidad total

1.00 3.00 3.00

2.00 4.00 8.00

5.00 11.00 55.00

10.00 136.00 1,360.00

20.00 36.00 720.00

50.00 58.00 2,900.00

100.00 5.00 500.00

EFECTIVO 5,546.00

CHEQUE 6,695.00DEBITOS Y/O CREDITO 5,669.00

DEPOSITOS 0.00

TOTAL ENTREGADO 17,910.00REPORTE SISTEMA 17,906.03SOBRANTE / FALTANTE 3.97

Page 620: cuadre daniela.xlsx
Page 621: cuadre daniela.xlsx
Page 622: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:01-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 6.00 30.00

10.00 22.00 220.00

20.00 0.00 0.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 400.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,801.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,201.00

REPORTE SISTEMA 2,224.02SOBRANTE / FALTANTE -23.02 FALTANTE DE

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 36.00 720.00

50.00 13.00 650.00

100.00 2.00 200.00

EFECTIVO 1,585.00

CHEQUE 426.00DEBITOS Y/O CREDITO 114.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,125.00REPORTE SISTEMA 2,130.99SOBRANTE / FALTANTE -5.99

Page 623: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 7.00 70.00

20.00 8.00 160.00

50.00 16.00 800.00

100.00 4.00 400.00

EFECTIVO 1,435.00

CHEQUE 135.00DEBITOS Y/O CREDITO 270.89

DEPOSITOS 0.00

TOTAL ENTREGADO 1,840.89REPORTE SISTEMA 1,839.98SOBRANTE / FALTANTE 0.91

TOTAL EN VENTAS quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 10.00 200.00

50.00 2.00 100.00

100.00 1.00 100.00

EFECTIVO 420.00

CHEQUE 0.00DEBITOS Y/O CREDITO 300.00

DEPOSITOS 0.00

TOTAL ENTREGADO 720.00REPORTE SISTEMA 720.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 4.00 4.00

2.00 0.00 0.00

Page 624: cuadre daniela.xlsx

5.00 13.00 65.00

10.00 33.00 330.00

20.00 88.00 1,760.00

50.00 45.00 2,250.00

100.00 8.00 800.00

EFECTIVO 5,209.00

CHEQUE 6,211.00DEBITOS Y/O CREDITO 4,374.89

DEPOSITOS 0.00

TOTAL ENTREGADO 15,794.89REPORTE SISTEMA 15,794.98SOBRANTE / FALTANTE -0.09

Page 625: cuadre daniela.xlsx
Page 626: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:03-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 35.00 1,750.00

100.00 0.00 0.00

EFECTIVO 1,774.00

CHEQUE 4,883.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,657.00

REPORTE SISTEMA 6,657.00SOBRANTE / FALTANTE 0.00

ventas 2: gaulizbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 11.00 220.00

50.00 52.00 2,600.00

100.00 0.00 0.00

EFECTIVO 2,831.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,775.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,606.00REPORTE SISTEMA 4,606.02SOBRANTE / FALTANTE -0.02

Page 627: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 55.00 550.00

20.00 40.00 800.00

50.00 10.00 500.00

100.00 5.00 500.00

EFECTIVO 2,352.00

CHEQUE 5,837.00DEBITOS Y/O CREDITO 6,769.00

DEPOSITOS 0.00

TOTAL ENTREGADO 14,958.00REPORTE SISTEMA 14,958.87SOBRANTE / FALTANTE -0.87

TOTAL EN VENTAS quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 0.00 0.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 220.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 220.00REPORTE SISTEMA 220.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

Page 628: cuadre daniela.xlsx

5.00 2.00 10.00

10.00 66.00 660.00

20.00 60.00 1,200.00

50.00 57.00 2,850.00

100.00 0.00 0.00

EFECTIVO 4,725.00

CHEQUE 10,855.00DEBITOS Y/O CREDITO 9,279.00

DEPOSITOS 0.00

TOTAL ENTREGADO 24,859.00REPORTE SISTEMA 24,858.89SOBRANTE / FALTANTE 0.11

Page 629: cuadre daniela.xlsx
Page 630: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:04-08-091 corte

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 4.00

10.00 0.00

20.00 22.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 1.00

2.00 4.00

5.00 1.00

10.00 6.00

20.00 10.00

50.00 20.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 631: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 1.00

50.00 9.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 sr. Jortinbilletes cantidad

1.00 0.00

2.00 0.00

Page 632: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 0.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

total en ventasbilletes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 8.00

20.00 34.00

50.00 64.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 633: cuadre daniela.xlsx
Page 634: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

2.00 2.00

20.00 5.00

0.00 10.00

440.00 20.00

300.00 50.00

0.00 100.00

762.00 EFECTIVO

1,065.00 CHEQUE 955.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,782.00 TOTAL ENTREGADO

* REPORTE SISTEMA2,782.00 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

8.00 2.00

5.00 5.00

60.00 10.00

200.00 20.00

1,000.00 50.00

300.00 100.00

1,574.00 EFECTIVO

0.00 CHEQUE 1,571.99 DEBITOS Y/O CREDITO

0.50 DEPOSITOS

3,146.49 TOTAL ENTREGADO0.00 REPORTE SISTEMA

3,146.49 SOBRANTE / FALTANTE

Page 635: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

30.00 10.00

20.00 20.00

450.00 50.00

100.00 100.00

600.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

600.00 TOTAL ENTREGADOREPORTE SISTEMA

600.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

0.00 2.00

Page 636: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

0.00 20.00

200.00 50.00

0.00 100.00

200.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

200.00 TOTAL ENTREGADO194.99 REPORTE SISTEMA

5.01 SOBRANTE / FALTANTE

total en ventas TOTAL GENERAL DEL DIA 04/08/09total billetes0.00 1.00

4.00 2.00

5.00 5.00

80.00 10.00

680.00 20.00

3,200.00 50.00

1,300.00 100.00

5,269.00 EFECTIVO

1,065.00 CHEQUE 2,866.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

9,200.99 TOTAL ENTREGADO0.00 REPORTE SISTEMA

9,200.99 del adelanto d SOBRANTE / FALTANTE

Page 637: cuadre daniela.xlsx
Page 638: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:04-08-092corte

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

2.00 100.00

0.00 0.00

100.00

0.000.00

4,004.13

4,104.130.00

4,104.13

Page 639: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

1.00 5.00

5.00 50.00

8.00 160.00

5.00 250.00

0.00 0.00

465.00

0.002,115.00

0.00

2,580.00

2,580.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

sr. Jortincantidad total

0.00 0.00

0.00 0.00

Page 640: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

TOTAL GENERAL DEL DIA 04/08/09cantidad total

1.00 1.00

3.00 6.00

2.00 10.00

3.00 30.00

7.00 140.00

15.00 750.00

22.00 2,200.00

3,137.00

0.006,990.99

10,338.13

20,466.1220,465.58

0.54

Page 641: cuadre daniela.xlsx
Page 642: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:05-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 3.00 3.00

2.00 8.00 16.00

5.00 0.00 0.00

10.00 2.00 20.00

20.00 2.00 40.00

50.00 2.00 100.00

100.00 2.00 200.00

EFECTIVO 379.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,100.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,479.00

REPORTE SISTEMA 1,479.01SOBRANTE / FALTANTE -0.01

ventas 2: gaulizbilletes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 4.00 200.00

100.00 1.00 100.00

EFECTIVO 340.00

CHEQUE 0.00DEBITOS Y/O CREDITO 22.00

DEPOSITOS 0.00

TOTAL ENTREGADO 362.00REPORTE SISTEMA 363.00SOBRANTE / FALTANTE -1.00

Page 643: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 24.00 240.00

20.00 3.00 60.00

50.00 3.00 150.00

100.00 2.00 200.00

EFECTIVO 655.00

CHEQUE 0.00DEBITOS Y/O CREDITO 135.00

DEPOSITOS 0.00

TOTAL ENTREGADO 790.00REPORTE SISTEMA 790.00SOBRANTE / FALTANTE 0.00

ventas 5 quintiliobilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 4.00 80.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 146.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 146.00REPORTE SISTEMA 145.96SOBRANTE / FALTANTE 0.04

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 644: cuadre daniela.xlsx

5.00 1.00 5.00

10.00 36.00 360.00

20.00 15.00 300.00

50.00 12.00 600.00

100.00 5.00 500.00

EFECTIVO 1,765.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,804.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,569.00REPORTE SISTEMA 3,564.95SOBRANTE / FALTANTE 4.05

Page 645: cuadre daniela.xlsx
Page 646: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:06-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 90.00

20.00 102.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 2.00

50.00 21.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 647: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

Page 648: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 649: cuadre daniela.xlsx
Page 650: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

900.00 10.00

2,040.00 20.00

50.00 50.00

100.00 100.00

3,090.00 EFECTIVO

2,200.00 CHEQUE 905.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,195.00 TOTAL ENTREGADO

6,186.99 REPORTE SISTEMA8.01 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

70.00 10.00

40.00 20.00

1,050.00 50.00

0.00 100.00

1,160.00 EFECTIVO

4,491.00 CHEQUE 488.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,139.00 TOTAL ENTREGADO6,165.00 REPORTE SISTEMA

-26.00 se pasara a no SOBRANTE / FALTANTE

Page 651: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO2,107.01 REPORTE SISTEMA-2,107.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO700.00 REPORTE SISTEMA-700.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

Page 652: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 653: cuadre daniela.xlsx
Page 654: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:07-08-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

1.00 5.00

2.00 20.00

2.00 40.00

7.00 350.00

0.00 0.00

415.00

0.00630.00

0.00

1,045.00

1,044.001.00

gaulizcantidad total

0.00 0.00

1.00 2.00

0.00 0.00

11.00 110.00

3.00 60.00

59.00 2,950.00

4.00 400.00

3,522.00

890.00 abono para el 646.00

0.00

5,058.005,083.02

-25.02 es del señor

Page 655: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

1.00 2.00

1.00 5.00

3.00 30.00

7.00 140.00

8.00 400.00

3.00 300.00

877.00

0.00220.00

7,100.00

8,197.008,198.02

-1.02

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00160.00

0.00

160.00160.00

0.00

TOTAL EN VENTAScantidad total

3.00 3.00

0.00 0.00

Page 656: cuadre daniela.xlsx

0.00 0.00

1.00 10.00

5.00 100.00

5.00 250.00

9.00 900.00

1,263.00

0.002,247.007,100.00

10,610.0010,610.05

-0.05

Page 657: cuadre daniela.xlsx
Page 658: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:08-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 2.00 100.00

100.00 0.00 0.00

EFECTIVO 135.00

CHEQUE 3,665.00DEBITOS Y/O CREDITO 474.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,274.00

REPORTE SISTEMA 4,274.00SOBRANTE / FALTANTE 0.00

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 35.00 700.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 850.00

CHEQUE 0.00DEBITOS Y/O CREDITO 4,632.99

DEPOSITOS 0.00

TOTAL ENTREGADO 5,482.99REPORTE SISTEMA 5,478.99SOBRANTE / FALTANTE 4.00

Page 659: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 10.00 200.00

50.00 14.00 700.00

100.00 0.00 0.00

EFECTIVO 955.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,375.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,330.00REPORTE SISTEMA 2,110.01SOBRANTE / FALTANTE 219.99

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 200.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 200.00REPORTE SISTEMA 200.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

Page 660: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 8.00 80.00

20.00 58.00 1,160.00

50.00 42.00 2,100.00

100.00 1.00 100.00

EFECTIVO 3,441.00

CHEQUE 3,665.00DEBITOS Y/O CREDITO 7,516.99

DEPOSITOS 0.00

TOTAL ENTREGADO 14,622.99REPORTE SISTEMA 14,402.99SOBRANTE / FALTANTE 220.00

Page 661: cuadre daniela.xlsx
Page 662: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:10-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 32.00

20.00 28.00

50.00 14.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 12.00

20.00 14.00

50.00 12.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 663: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 2.00

5.00 8.00

10.00 5.00

20.00 2.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

van a sobra 22 TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

Page 664: cuadre daniela.xlsx

5.00 0.00

10.00 50.00

20.00 48.00

50.00 60.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

PERTENECE AL SOBRANTE / FALTANTE

Page 665: cuadre daniela.xlsx
Page 666: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

4.00 2.00

5.00 5.00

320.00 10.00

560.00 20.00

700.00 50.00

700.00 100.00

2,289.00 EFECTIVO

0.00 CHEQUE 550.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,839.00 TOTAL ENTREGADO

2,838.98 REPORTE SISTEMA0.02 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

5.00 5.00

120.00 10.00

280.00 20.00

600.00 50.00

300.00 100.00

1,305.00 EFECTIVO

0.00 CHEQUE 255.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,560.00 TOTAL ENTREGADO1,558.94 REPORTE SISTEMA

1.06 SOBRANTE / FALTANTE

Page 667: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

4.00 2.00

40.00 5.00

50.00 10.00

40.00 20.00

150.00 50.00

0.00 100.00

284.00 EFECTIVO

0.00 CHEQUE 6,934.98 DEBITOS Y/O CREDITO

90.00 torta LO SAQUE DE CAJA DEPOSITOS

7,308.98 TOTAL ENTREGADO7,087.98 REPORTE SISTEMA

221.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

Page 668: cuadre daniela.xlsx

0.00 5.00

500.00 10.00

960.00 20.00

3,000.00 50.00

1,000.00 100.00

5,460.00 EFECTIVO

160.00 CHEQUE 7,969.98 DEBITOS Y/O CREDITO

DEPOSITOS

13,589.98 TOTAL ENTREGADO13,587.90 REPORTE SISTEMA

2.08 SOBRANTE / FALTANTE

Page 669: cuadre daniela.xlsx
Page 670: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:11-08-09

Luis portillo cantidad total

1.00 1.00

2.00 4.00

1.00 5.00

13.00 130.00

11.00 220.00

4.00 200.00

0.00 0.00

560.00

0.00410.00

0.00

970.00

968.991.01

gaulizcantidad total

0.00 0.00

1.00 2.00

1.00 5.00

25.00 250.00

9.00 180.00

8.00 400.00

2.00 200.00

1,037.00

100.00727.00

0.00

1,864.001,558.94

305.06 200 son de un

Page 671: cuadre daniela.xlsx

Giovanny paezcantidad total

1.00 1.00

2.00 4.00

0.00 0.00

4.00 40.00

32.00 640.00

1.00 50.00

1.00 100.00

835.00

0.00242.00

0.00

1,077.001,077.02

-0.02

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

0.00 0.00

3.00 150.00

0.00 0.00

160.00

0.000.000.00

160.00160.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

2.00 4.00

Page 672: cuadre daniela.xlsx

1.00 5.00

140.00 1,400.00

127.00 2,540.00

16.00 800.00

4.00 400.00

5,149.00

580.002,089.00

7,818.007,774.01

43.99

Page 673: cuadre daniela.xlsx
Page 674: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:12-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 3.00 15.00

10.00 8.00 80.00

20.00 5.00 100.00

50.00 18.00 900.00

100.00 0.00 0.00

EFECTIVO 1,097.00

CHEQUE 0.00DEBITOS Y/O CREDITO 738.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,835.00

REPORTE SISTEMA 1,835.02SOBRANTE / FALTANTE -0.02

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 2.00 20.00

20.00 2.00 40.00

50.00 0.00 0.00

100.00 1.00 100.00

EFECTIVO 165.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 2,650.00

TOTAL ENTREGADO 2,815.00REPORTE SISTEMA 2,812.00SOBRANTE / FALTANTE 3.00

Page 675: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 6.00 120.00

50.00 7.00 350.00

100.00 1.00 100.00

EFECTIVO 572.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,036.00

DEPOSITOS 6,618.00

TOTAL ENTREGADO 8,226.00REPORTE SISTEMA 8,229.99SOBRANTE / FALTANTE -3.99

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 4.00 40.00

20.00 2.00 40.00

50.00 10.00 500.00

100.00 0.00 0.00

EFECTIVO 585.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 585.00REPORTE SISTEMA 585.01SOBRANTE / FALTANTE -0.01

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 676: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 590.00

DEPOSITOS 0.00

TOTAL ENTREGADO 590.00REPORTE SISTEMA 590.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 6.00 30.00

10.00 14.00 140.00

20.00 15.00 300.00

50.00 42.00 2,100.00

100.00 3.00 300.00

EFECTIVO 2,873.00

CHEQUE 2,650.00DEBITOS Y/O CREDITO 3,335.97

DEPOSITOS 6,618.00

TOTAL ENTREGADO 15,476.97REPORTE SISTEMA 15,476.99SOBRANTE / FALTANTE -0.02

Page 677: cuadre daniela.xlsx
Page 678: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:13-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 14.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 1.00

5.00 12.00

10.00 2.00

20.00 4.00

50.00 14.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 679: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 10.00

20.00 10.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DOS CREDIFAC DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 5.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 1.00

Page 680: cuadre daniela.xlsx

5.00 2.00

10.00 2.00

20.00 16.00

50.00 57.00

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 3.00

5.00 16.00

10.00 17.00

20.00 49.00

50.00 36.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 681: cuadre daniela.xlsx
Page 682: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

280.00 20.00

150.00 50.00

0.00 100.00

435.00 EFECTIVO

2,830.00 CHEQUE 3,814.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

7,079.00 TOTAL ENTREGADO

7,864.99 REPORTE SISTEMA-785.99 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

2.00 2.00

60.00 5.00

20.00 10.00

80.00 20.00

700.00 50.00

0.00 100.00

862.00 EFECTIVO

3,660.00 CHEQUE 361.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

4,883.00 TOTAL ENTREGADO4,882.98 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

Page 683: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

2.00 2.00

5.00 5.00

100.00 10.00

200.00 20.00

250.00 50.00

100.00 100.00

657.00 EFECTIVO

0.00 CHEQUE 250.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

907.00 TOTAL ENTREGADO909.00 REPORTE SISTEMA

-2.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

4.00 2.00

0.00 5.00

10.00 10.00

100.00 20.00

150.00 50.00

0.00 100.00

264.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

264.00 TOTAL ENTREGADO263.97 REPORTE SISTEMA

0.03 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

2.00 2.00

Page 684: cuadre daniela.xlsx

10.00 5.00

20.00 10.00

320.00 20.00

2,850.00 50.00

1,500.00 100.00

4,702.00 EFECTIVO

0.00 CHEQUE 1,131.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,833.00 TOTAL ENTREGADO5,036.98 REPORTE SISTEMA

796.02 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

6.00 2.00

80.00 5.00

170.00 10.00

980.00 20.00

1,800.00 50.00

0.00 100.00

3,036.00 EFECTIVO

6,490.00 CHEQUE 5,996.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

15,522.00 TOTAL ENTREGADO15,509.92 REPORTE SISTEMA

12.08 SOBRANTE / FALTANTE

Page 685: cuadre daniela.xlsx
Page 686: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:14-08-09

Luis portillo cantidad total

0.00 0.00

1.00 2.00

0.00 0.00

1.00 10.00

4.00 80.00

4.00 200.00

0.00 0.00

292.00

0.00500.00

0.00

792.00

793.00-1.00

gaulizcantidad total

0.00 0.00

1.00 2.00

2.00 10.00

4.00 40.00

14.00 280.00

23.00 1,150.00

8.00 800.00

2,282.00

0.00200.00

0.00

2,482.002,487.00

-5.00

Page 687: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

2.00 4.00

0.00 0.00

2.00 20.00

2.00 40.00

62.00 3,100.00

1.00 100.00

3,264.00

3,015.00 credifacil 20275.00220.00

6,774.006,775.01

-1.01

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00390.00

0.00

390.00390.01

-0.01

juan carlos cantidad total

0.00 0.00

0.00 0.00

Page 688: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

5.00 100.00

10.00 500.00

0.00 0.00

600.00

0.00655.00

0.00

1,255.001,252.02

2.98

TOTAL EN VENTAScantidad total

0.00 0.00

1.00 2.00

0.00 0.00

6.00 60.00

25.00 500.00

100.00 5,000.00

9.00 900.00

6,462.00

3,015.002,020.00 CREDIFACIL N200.00

11,697.0011,697.04

-0.04

Page 689: cuadre daniela.xlsx
Page 690: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:15-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 9.00 90.00

20.00 1.00 20.00

50.00 14.00 700.00

100.00 1.00 100.00

EFECTIVO 910.00

CHEQUE 0.00DEBITOS Y/O CREDITO 3,450.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,360.00

REPORTE SISTEMA 4,359.01SOBRANTE / FALTANTE 0.99

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 32.00 1,600.00

100.00 0.00 0.00

EFECTIVO 1,637.00

CHEQUE 1,650.00DEBITOS Y/O CREDITO 465.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,752.00REPORTE SISTEMA 3,768.00SOBRANTE / FALTANTE -16.00

Page 691: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 3.00 6.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 4.00 80.00

50.00 8.00 400.00

100.00 0.00 0.00

EFECTIVO 496.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,047.99

DEPOSITOS 0.00

TOTAL ENTREGADO 1,543.99REPORTE SISTEMA 1,541.99SOBRANTE / FALTANTE 2.00

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 403.00

DEPOSITOS 0.00

TOTAL ENTREGADO 403.00REPORTE SISTEMA 402.93SOBRANTE / FALTANTE 0.07

ventas 6 juan carlos billetes cantidad total

1.00 3.00 3.00

2.00 0.00 0.00

Page 692: cuadre daniela.xlsx

5.00 3.00 15.00

10.00 1.00 10.00

20.00 2.00 40.00

50.00 2.00 100.00

100.00 0.00 0.00

EFECTIVO 168.00

CHEQUE 4,755.00DEBITOS Y/O CREDITO 1,972.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,895.00REPORTE SISTEMA 6,895.03SOBRANTE / FALTANTE -0.03

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 8.00 80.00

20.00 7.00 140.00

50.00 51.00 2,550.00

100.00 0.00 0.00

EFECTIVO 2,774.00

CHEQUE 6,405.00DEBITOS Y/O CREDITO 7,337.99

DEPOSITOS 0.00

TOTAL ENTREGADO 16,516.99REPORTE SISTEMA 16,516.96SOBRANTE / FALTANTE 0.03

Page 693: cuadre daniela.xlsx
Page 694: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:17-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 13.00

20.00 8.00

50.00 37.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 695: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 2.00

5.00 8.00

10.00 2.00

20.00 14.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 1.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 0.00

Page 696: cuadre daniela.xlsx

5.00 5.00

10.00 5.00

20.00 63.00

50.00 92.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 21.00

20.00 86.00

50.00 137.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 697: cuadre daniela.xlsx
Page 698: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

2.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

3.00 EFECTIVO

0.00 CHEQUE 124.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

127.00 TOTAL ENTREGADO

127.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

2.00 2.00

5.00 5.00

130.00 10.00

160.00 20.00

1,850.00 50.00

200.00 100.00

2,347.00 EFECTIVO

0.00 CHEQUE 420.00 DEBITOS Y/O CREDITO

DEPOSITOS

2,767.00 TOTAL ENTREGADO2,767.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

Page 699: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

4.00 2.00

40.00 5.00

20.00 10.00

280.00 20.00

350.00 50.00

0.00 100.00

694.00 EFECTIVO

0.00 CHEQUE 2,270.00 DEBITOS Y/O CREDITO220.00 DEPOSITOS

3,184.00 TOTAL ENTREGADO3,183.00 REPORTE SISTEMA

1.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

30.00 10.00

20.00 20.00

50.00 50.00

0.00 100.00

100.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

100.00 TOTAL ENTREGADO100.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

0.00 2.00

Page 700: cuadre daniela.xlsx

25.00 5.00

50.00 10.00

1,260.00 20.00

4,600.00 50.00

100.00 100.00

6,035.00 EFECTIVO

0.00 CHEQUE 2,739.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,774.00 TOTAL ENTREGADO8,774.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

0.00 2.00

0.00 5.00

210.00 10.00

1,720.00 20.00

6,850.00 50.00

400.00 100.00

9,180.00 EFECTIVO

0.00 CHEQUE 5,553.00 DEBITOS Y/O CREDITO220.00 DEPOSITOS

14,953.00 TOTAL ENTREGADO14,951.00 REPORTE SISTEMA

2.00 SOBRANTE / FALTANTE

Page 701: cuadre daniela.xlsx
Page 702: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:18-08-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

10.00 200.00

23.00 1,150.00

1.00 100.00

1,460.00

0.00957.99

0.00

2,417.99

2,418.99-1.00

gaulizcantidad total

0.00 0.00

2.00 4.00

0.00 0.00

11.00 110.00

67.00 1,340.00

39.00 1,950.00

2.00 200.00

3,604.00

0.00250.00

3,854.003,853.02

0.98 el faltante se

Page 703: cuadre daniela.xlsx

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

5.00 25.00

2.00 20.00

32.00 640.00

91.00 4,550.00

10.00 1,000.00

6,236.00

615.0011,526.00

0.00

18,377.0018,378.00

-1.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

8.00 160.00

0.00 0.00

0.00 0.00

160.00

0.00200.00 ME LO DEBE

0.00

360.00360.00

0.00

juan carlos cantidad total

1.00 1.00

0.00 0.00

Page 704: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

102.00 2,040.00

73.00 3,650.00

23.00 2,300.00

7,991.00

0.000.000.00

7,991.007,995.00

-4.00

TOTAL EN VENTAScantidad total

1.00 1.00

0.00 0.00

5.00 25.00

14.00 140.00

217.00 4,340.00

227.00 11,350.00

36.00 3,600.00

19,456.00

615.0012,933.99

0.00

33,004.9933,005.01

-0.02

Page 705: cuadre daniela.xlsx
Page 706: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:19-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 15.00 750.00

100.00 1.00 100.00

EFECTIVO 901.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,212.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,113.00

REPORTE SISTEMA 2,113.01SOBRANTE / FALTANTE -0.01

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 2.00 20.00

20.00 3.00 60.00

50.00 7.00 350.00

100.00 2.00 200.00

EFECTIVO 635.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,507.00

DEPOSITOS 50.00

TOTAL ENTREGADO 2,192.00REPORTE SISTEMA 2,192.02SOBRANTE / FALTANTE -0.02

Page 707: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 2.00 100.00

100.00 4.00 400.00

EFECTIVO 550.00

CHEQUE 1,870.00DEBITOS Y/O CREDITO 268.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,688.00REPORTE SISTEMA 2,687.03SOBRANTE / FALTANTE 0.97

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 708: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 6.00 300.00

100.00 1.00 100.00

EFECTIVO 400.00

CHEQUE 400.00DEBITOS Y/O CREDITO 932.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,732.00REPORTE SISTEMA 1,730.99SOBRANTE / FALTANTE 1.01

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 6.00 120.00

50.00 34.00 1,700.00

100.00 7.00 700.00

EFECTIVO 2,536.00

CHEQUE 400.00DEBITOS Y/O CREDITO 3,919.00

DEPOSITOS 1,870.00

TOTAL ENTREGADO 8,725.00REPORTE SISTEMA 8,723.05SOBRANTE / FALTANTE 1.95

Page 709: cuadre daniela.xlsx
Page 710: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:20-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 5.00

20.00 29.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 41.00

20.00 7.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 711: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 46.00

20.00 21.00

50.00 62.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 0.00

Page 712: cuadre daniela.xlsx

5.00 1.00

10.00 1.00

20.00 1.00

50.00 5.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 2.00

5.00 2.00

10.00 92.00

20.00 59.00

50.00 78.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 713: cuadre daniela.xlsx
Page 714: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

50.00 10.00

580.00 20.00

300.00 50.00

0.00 100.00

935.00 EFECTIVO

1,202.98 CHEQUE 415.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,552.98 TOTAL ENTREGADO

2,552.99 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

4.00 2.00

5.00 5.00

410.00 10.00

140.00 20.00

250.00 50.00

100.00 100.00

910.00 EFECTIVO

0.00 CHEQUE 1,947.01 DEBITOS Y/O CREDITO

DEPOSITOS

2,857.01 TOTAL ENTREGADO2,857.01 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

Page 715: cuadre daniela.xlsx

ventas 3:total billetes1.00 1.00

4.00 2.00

0.00 5.00

460.00 10.00

420.00 20.00

3,100.00 50.00

0.00 100.00

3,985.00 EFECTIVO

0.00 CHEQUE 1,820.00 DEBITOS Y/O CREDITO1,800.00 credi facil so DEPOSITOS

7,605.00 TOTAL ENTREGADO7,602.00 REPORTE SISTEMA

3.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

0.00 2.00

Page 716: cuadre daniela.xlsx

5.00 5.00

10.00 10.00

20.00 20.00

250.00 50.00

600.00 100.00

885.00 EFECTIVO

565.00 CHEQUE 580.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,030.00 TOTAL ENTREGADO2,028.00 REPORTE SISTEMA

2.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

4.00 2.00

10.00 5.00

920.00 10.00

1,180.00 20.00

3,900.00 50.00

700.00 100.00

6,715.00 EFECTIVO

1,767.98 CHEQUE 4,762.01 DEBITOS Y/O CREDITO1,800.00 credifacil sol DEPOSITOS

15,044.99 TOTAL ENTREGADO15,040.00 REPORTE SISTEMA

4.99 SOBRANTE / FALTANTE

Page 717: cuadre daniela.xlsx
Page 718: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:21-08-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

5.00 100.00

5.00 250.00

5.00 500.00

860.00

0.00200.00

0.00

1,060.00

1,060.000.00

gaulizcantidad total

2.00 2.00

0.00 0.00

0.00 0.00

3.00 30.00

4.00 80.00

0.00 0.00

0.00 0.00

112.00

0.001,745.01

1,857.011,857.02

-0.01

Page 719: cuadre daniela.xlsx

Giovanny paezcantidad total

2.00 2.00

0.00 0.00

5.00 25.00

1.00 10.00

10.00 200.00

7.00 350.00

2.00 200.00

787.00

0.000.000.00

787.00805.01-18.01 ESTE FALTANT

quintiliocantidad total

0.00 0.00

2.00 4.00

2.00 10.00

5.00 50.00

2.00 40.00

2.00 100.00

0.00 0.00

204.00

0.000.000.00

204.00204.00

0.00

juan carlos cantidad total

0.00 0.00

2.00 4.00

Page 720: cuadre daniela.xlsx

2.00 10.00

1.00 10.00

21.00 420.00

30.00 1,500.00

2.00 200.00

2,144.00

0.0015.000.00

2,159.002,159.00

0.00

TOTAL EN VENTAScantidad total

1.00 1.00

0.00 0.00

1.00 5.00

5.00 50.00

41.00 820.00

47.00 2,350.00

9.00 900.00

4,126.00

0.001,960.01

0.00

6,086.016,085.03

0.98

Page 721: cuadre daniela.xlsx
Page 722: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:22-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 7.00 140.00

50.00 5.00 250.00

100.00 31.00 3,100.00

EFECTIVO 3,545.00

CHEQUE 0.00DEBITOS Y/O CREDITO 570.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,115.00

REPORTE SISTEMA 4,115.00SOBRANTE / FALTANTE 0.00

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 3.00 6.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 17.00 340.00

50.00 5.00 250.00

100.00 1.00 100.00

EFECTIVO 726.00

CHEQUE 750.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS

TOTAL ENTREGADO 1,476.00REPORTE SISTEMA 1,476.00SOBRANTE / FALTANTE 0.00

Page 723: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 6.00 120.00

50.00 2.00 100.00

100.00 1.00 100.00

EFECTIVO 351.00

CHEQUE 0.00DEBITOS Y/O CREDITO 449.00

DEPOSITOS 0.00

TOTAL ENTREGADO 800.00REPORTE SISTEMA 799.99SOBRANTE / FALTANTE 0.01

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 1.00 50.00

100.00 0.00 0.00

EFECTIVO 90.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 90.00REPORTE SISTEMA 90.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 724: cuadre daniela.xlsx

5.00 1.00 5.00

10.00 4.00 40.00

20.00 4.00 80.00

50.00 8.00 400.00

100.00 2.00 200.00

EFECTIVO 725.00

CHEQUE 5,150.00DEBITOS Y/O CREDITO 2,032.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,907.00REPORTE SISTEMA 7,906.99SOBRANTE / FALTANTE 0.01

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 13.00 130.00

20.00 35.00 700.00

50.00 22.00 1,100.00

100.00 35.00 3,500.00

EFECTIVO 5,437.00

CHEQUE 5,900.00DEBITOS Y/O CREDITO 3,051.00

DEPOSITOS 0.00

TOTAL ENTREGADO 14,388.00REPORTE SISTEMA 14,387.98SOBRANTE / FALTANTE 0.02

Page 725: cuadre daniela.xlsx
Page 726: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:24-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 11.00

50.00 16.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 31.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 727: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 88.00

20.00 1.00

50.00 82.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 2.00

2.00 2.00

Page 728: cuadre daniela.xlsx

5.00 1.00

10.00 16.00

20.00 14.00

50.00 15.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 139.00

20.00 58.00

50.00 115.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 729: cuadre daniela.xlsx
Page 730: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

0.00 2.00

5.00 5.00

20.00 10.00

220.00 20.00

800.00 50.00

100.00 100.00

1,146.00 EFECTIVO

0.00 CHEQUE 310.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,456.00 TOTAL ENTREGADO

1,455.99 REPORTE SISTEMA0.01 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

620.00 20.00

350.00 50.00

0.00 100.00

985.00 EFECTIVO

0.00 CHEQUE 1,226.00 DEBITOS Y/O CREDITO

DEPOSITOS

2,211.00 TOTAL ENTREGADO2,211.04 REPORTE SISTEMA

-0.04 SOBRANTE / FALTANTE

Page 731: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

4.00 2.00

0.00 5.00

880.00 10.00

20.00 20.00

4,100.00 50.00

0.00 100.00

5,004.00 EFECTIVO

0.00 CHEQUE 744.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,748.00 TOTAL ENTREGADO5,748.99 REPORTE SISTEMA

-0.99 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

20.00 20.00

50.00 50.00

0.00 100.00

70.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

70.00 TOTAL ENTREGADO70.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes2.00 1.00

4.00 2.00

Page 732: cuadre daniela.xlsx

5.00 5.00

160.00 10.00

280.00 20.00

750.00 50.00

400.00 100.00

1,601.00 EFECTIVO

0.00 CHEQUE 1,505.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,106.00 TOTAL ENTREGADO3,106.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

2.00 2.00

5.00 5.00

1,390.00 10.00

1,160.00 20.00

5,750.00 50.00

500.00 100.00

8,807.00 EFECTIVO

0.00 CHEQUE 3,785.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

12,592.00 TOTAL ENTREGADO12,592.05 REPORTE SISTEMA

-0.05 SOBRANTE / FALTANTE

Page 733: cuadre daniela.xlsx
Page 734: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:25-08-09

Luis portillo cantidad total

0.00 0.00

1.00 2.00

1.00 5.00

0.00 0.00

10.00 200.00

8.00 400.00

0.00 0.00

607.00

0.00802.00

0.00

1,409.00

1,408.990.01

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

5.00 50.00

17.00 340.00

1.00 50.00

0.00 0.00

440.00

0.00386.00

826.00826.00

0.00

Page 735: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

2.00 40.00

0.00 0.00

0.00 0.00

40.00

0.001,330.00

0.00

1,370.001,370.01

-0.01

quintiliocantidad total

0.00 0.00

0.00 0.00

2.00 10.00

1.00 10.00

4.00 80.00

0.00 0.00

0.00 0.00

100.00

0.000.000.00

100.0096.993.01 ES DE QUINTI

juan carlos cantidad total

0.00 0.00

0.00 0.00

Page 736: cuadre daniela.xlsx

0.00 0.00

0.00 0.00

4.00 80.00

2.00 100.00

1.00 100.00

280.00

724.00645.00

0.00

1,649.001,648.02

0.98

TOTAL EN VENTAScantidad total

0.00 0.00

0.00 0.00

4.00 20.00

9.00 90.00

37.00 740.00

11.00 550.00

1.00 100.00

1,500.00

724.003,163.00

0.00

5,387.005,386.01

0.99

Page 737: cuadre daniela.xlsx
Page 738: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:26-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 1.00 20.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 204.00

CHEQUE 0.00DEBITOS Y/O CREDITO 920.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,124.00

REPORTE SISTEMA 1,124.00SOBRANTE / FALTANTE 0.00

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 3.00 30.00

20.00 2.00 40.00

50.00 11.00 550.00

100.00 0.00 0.00

EFECTIVO 624.00

CHEQUE 0.00DEBITOS Y/O CREDITO 667.00

DEPOSITOS

TOTAL ENTREGADO 1,291.00REPORTE SISTEMA 1,290.99SOBRANTE / FALTANTE 0.01

Page 739: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 3.00 6.00

5.00 5.00 25.00

10.00 8.00 80.00

20.00 21.00 420.00

50.00 14.00 700.00

100.00 1.00 100.00

EFECTIVO 1,331.00

CHEQUE 0.00DEBITOS Y/O CREDITO 790.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,121.00REPORTE SISTEMA 2,121.04SOBRANTE / FALTANTE -0.04

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 740: cuadre daniela.xlsx

5.00 1.00 5.00

10.00 5.00 50.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 55.00

CHEQUE 0.00DEBITOS Y/O CREDITO 613.00

DEPOSITOS 0.00

TOTAL ENTREGADO 668.00REPORTE SISTEMA 669.00SOBRANTE / FALTANTE -1.00

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 2.00 10.00

10.00 20.00 200.00

20.00 25.00 500.00

50.00 28.00 1,400.00

100.00 1.00 100.00

EFECTIVO 2,214.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,990.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,204.00REPORTE SISTEMA 5,205.03SOBRANTE / FALTANTE -1.03

Page 741: cuadre daniela.xlsx
Page 742: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:27-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 4.00

20.00 72.00

50.00 19.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 5.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 743: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 2.00

5.00 12.00

10.00 9.00

20.00 9.00

50.00 13.00

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 1.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 1.00

2.00 0.00

Page 744: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 3.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 14.00

20.00 95.00

50.00 39.00

100.00 19.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 745: cuadre daniela.xlsx
Page 746: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

10.00 5.00

40.00 10.00

1,440.00 20.00

950.00 50.00

400.00 100.00

2,840.00 EFECTIVO

0.00 CHEQUE 155.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,995.00 TOTAL ENTREGADO

2,995.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

5.00 5.00

10.00 10.00

100.00 20.00

200.00 50.00

0.00 100.00

315.00 EFECTIVO

750.00 CHEQUE 1,030.00 DEBITOS Y/O CREDITO

DEPOSITOS

2,095.00 TOTAL ENTREGADO2,096.01 REPORTE SISTEMA

-1.01 SOBRANTE / FALTANTE

Page 747: cuadre daniela.xlsx

ventas 3:total billetes1.00 1.00

4.00 2.00

60.00 5.00

90.00 10.00

180.00 20.00

650.00 50.00

1,500.00 100.00

2,485.00 EFECTIVO

0.00 CHEQUE 232.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,717.00 TOTAL ENTREGADO2,716.00 REPORTE SISTEMA

1.00 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

20.00 10.00

20.00 20.00

100.00 50.00

0.00 100.00

140.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

140.00 TOTAL ENTREGADO140.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes1.00 1.00

0.00 2.00

Page 748: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

60.00 20.00

50.00 50.00

0.00 100.00

111.00 EFECTIVO

0.00 CHEQUE 40.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

151.00 TOTAL ENTREGADO151.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

2.00 2.00

0.00 5.00

140.00 10.00

1,900.00 20.00

1,950.00 50.00

1,900.00 100.00

5,893.00 EFECTIVO

750.00 CHEQUE 1,457.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

8,100.00 TOTAL ENTREGADO8,098.01 REPORTE SISTEMA

1.99 SOBRANTE / FALTANTE

Page 749: cuadre daniela.xlsx
Page 750: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:28-08-09

Luis portillo cantidad total

0.00 0.00

2.00 4.00

2.00 10.00

4.00 40.00

15.00 300.00

3.00 150.00

0.00 0.00

504.00

0.001,390.00

0.00

1,894.00

1,893.980.02

gaulizcantidad total

1.00 1.00

1.00 2.00

1.00 5.00

1.00 10.00

12.00 240.00

7.00 350.00

1.00 100.00

708.00

0.001,196.00

1,904.001,904.02

-0.02

Page 751: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

1.00 2.00

3.00 15.00

17.00 170.00

43.00 860.00

86.00 4,300.00

4.00 400.00

5,747.00

0.00429.00

0.00

6,176.006,175.99

0.01

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

8.00 160.00

4.00 200.00

0.00 0.00

360.00

0.000.000.00

360.00360.00

0.00

juan carlos cantidad total

3.00 3.00

1.00 2.00

Page 752: cuadre daniela.xlsx

0.00 0.00

1.00 10.00

11.00 220.00

2.00 100.00

0.00 0.00

335.00

0.00590.00

0.00

925.00925.01

-0.01

TOTAL EN VENTAScantidad total

2.00 2.00

1.00 2.00

2.00 10.00

16.00 160.00

89.00 1,780.00

104.00 5,200.00

5.00 500.00

7,654.00

0.003,605.00

0.00

11,259.0011,259.00

0.00

Page 753: cuadre daniela.xlsx
Page 754: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:29-08-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 33.00

CHEQUE 0.00DEBITOS Y/O CREDITO 8,856.00

DEPOSITOS 0.00

TOTAL ENTREGADO 8,889.00

REPORTE SISTEMA 8,888.99SOBRANTE / FALTANTE 0.01

ventas 2: gaulizbilletes cantidad total

1.00 2.00 2.00

2.00 13.00 26.00

5.00 4.00 20.00

10.00 1.00 10.00

20.00 4.00 80.00

50.00 3.00 150.00

100.00 1.00 100.00

EFECTIVO 388.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 388.00REPORTE SISTEMA 388.01SOBRANTE / FALTANTE -0.01

Page 755: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 23.00 460.00

50.00 7.00 350.00

100.00 0.00 0.00

EFECTIVO 818.00

CHEQUE 450.00DEBITOS Y/O CREDITO 691.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,959.00REPORTE SISTEMA 1,959.00SOBRANTE / FALTANTE 0.00

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 30.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 30.00REPORTE SISTEMA 30.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 756: cuadre daniela.xlsx

5.00 1.00 5.00

10.00 0.00 0.00

20.00 25.00 500.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 655.00

CHEQUE 105.00DEBITOS Y/O CREDITO 500.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,260.00REPORTE SISTEMA 1,260.98SOBRANTE / FALTANTE -0.98

TOTAL EN VENTASbilletes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 4.00 40.00

20.00 54.00 1,080.00

50.00 13.00 650.00

100.00 1.00 100.00

EFECTIVO 1,874.00

CHEQUE 555.00DEBITOS Y/O CREDITO 10,047.00

DEPOSITOS 0.00

TOTAL ENTREGADO 12,476.00REPORTE SISTEMA 12,476.00SOBRANTE / FALTANTE 0.00

Page 757: cuadre daniela.xlsx
Page 758: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:31-08-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 5.00

20.00 104.00

50.00 7.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 10.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 759: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 2.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 15.00

50.00 5.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 0.00

Page 760: cuadre daniela.xlsx

5.00 0.00

10.00 2.00

20.00 7.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 9.00

20.00 136.00

50.00 19.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 761: cuadre daniela.xlsx
Page 762: cuadre daniela.xlsx

Gallery Computer, c.a

total0.00

2.00

5.00

50.00

2,080.00

350.00

200.00

2,687.00

0.001,600.00912.00 CREDIFACIL SOLICITUD Nº 225968

5,199.00

5,199.99-0.99

total0.00

0.00

0.00

10.00

200.00

0.00

0.00

210.00

0.004,324.00

0.00

4,534.004,533.99

0.01

Page 763: cuadre daniela.xlsx

total2.00

4.00

0.00

0.00

300.00

250.00

200.00

756.00

3,000.00810.00

0.00

4,566.004,566.00

0.00

total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.000.000.00

0.000.000.00

total0.00

0.00

Page 764: cuadre daniela.xlsx

0.00

20.00

140.00

350.00

0.00

510.00

5,500.001,027.00

0.00

7,037.007,034.99

2.01

TOTAL EN VENTAStotal0.00

2.00

0.00

90.00

2,720.00

950.00

400.00

4,162.00

8,500.017,761.00912.00 credifacil solicitud nº 225968

21,335.0121,334.97

0.04

Page 765: cuadre daniela.xlsx
Page 766: cuadre daniela.xlsx
Page 767: cuadre daniela.xlsx
Page 768: cuadre daniela.xlsx
Page 769: cuadre daniela.xlsx
Page 770: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:01-09-09

Ventas 1: Luis portillo billetes cantidad total

1.00 2.00 2.00

2.00 5.00 10.00

5.00 0.00 0.00

10.00 39.00 390.00

20.00 15.00 300.00

50.00 12.00 600.00

100.00 0.00 0.00

EFECTIVO 1,302.00

CHEQUE 0.00DEBITOS Y/O CREDITO 305.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,607.00

REPORTE SISTEMA 1,606.92SOBRANTE / FALTANTE 0.08

ventas 2: gaulizbilletes cantidad total

1.00 3.00 3.00

2.00 0.00 0.00

5.00 7.00 35.00

10.00 18.00 180.00

20.00 13.00 260.00

50.00 32.00 1,600.00

100.00 0.00 0.00

EFECTIVO 2,078.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,676.00

DEPOSITOS 0.00

TOTAL ENTREGADO 4,754.00REPORTE SISTEMA 4,753.98SOBRANTE / FALTANTE 0.02

Page 771: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 7.00 35.00

10.00 9.00 90.00

20.00 9.00 180.00

50.00 1.00 50.00

100.00 3.00 300.00

EFECTIVO 656.00

CHEQUE 0.00DEBITOS Y/O CREDITO 309.00

DEPOSITOS 0.00

TOTAL ENTREGADO 965.00965.00

SOBRANTE / FALTANTE 0.00

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 772: cuadre daniela.xlsx

5.00 56.00 280.00

10.00 18.00 180.00

20.00 3.00 60.00

50.00 25.00 1,250.00

100.00 13.00 1,300.00

EFECTIVO 3,070.00

CHEQUE 291.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 600.00

TOTAL ENTREGADO 3,961.00REPORTE SISTEMA 3,961.02SOBRANTE / FALTANTE -0.02

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 84.00 840.00

20.00 47.00 940.00

50.00 33.00 1,650.00

100.00 6.00 600.00

EFECTIVO 4,033.00

CHEQUE 291.00DEBITOS Y/O CREDITO 3,290.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,614.00REPORTE SISTEMA 7,613.62SOBRANTE / FALTANTE 0.38

Page 773: cuadre daniela.xlsx
Page 774: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:02-09-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 12.00

50.00 9.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 6.00

50.00 7.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 775: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 0.00

5.00 23.00

10.00 4.00

20.00 17.00

50.00 9.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 1.00

Page 776: cuadre daniela.xlsx

5.00 1.00

10.00 44.00

20.00 29.00

50.00 25.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 2.00

5.00 25.00

10.00 53.00

20.00 65.00

50.00 51.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 777: cuadre daniela.xlsx
Page 778: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

50.00 10.00

240.00 20.00

450.00 50.00

400.00 100.00

1,140.00 EFECTIVO

0.00 CHEQUE 330.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,470.00 TOTAL ENTREGADO

1,469.92 REPORTE SISTEMA0.08 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

2.00 2.00

5.00 5.00

0.00 10.00

120.00 20.00

350.00 50.00

100.00 100.00

578.00 EFECTIVO

2,520.00 CHEQUE 832.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,930.00 TOTAL ENTREGADO3,930.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

Page 779: cuadre daniela.xlsx

ventas 3:total billetes1.00 1.00

0.00 2.00

115.00 5.00

40.00 10.00

340.00 20.00

450.00 50.00

500.00 100.00

1,446.00 EFECTIVO

0.00 CHEQUE 265.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,711.00 TOTAL ENTREGADO1,710.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

20.00 20.00

50.00 50.00

100.00 100.00

170.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

170.00 TOTAL ENTREGADO170.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

2.00 2.00

Page 780: cuadre daniela.xlsx

5.00 5.00

440.00 10.00

580.00 20.00

1,250.00 50.00

300.00 100.00

2,577.00 EFECTIVO

496.00 CHEQUE 266.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,339.00 TOTAL ENTREGADO3,338.04 REPORTE SISTEMA

0.96 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes2.00 1.00

4.00 2.00

125.00 5.00

530.00 10.00

1,300.00 20.00

2,550.00 50.00

1,400.00 100.00

5,911.00 EFECTIVO

496.00 CHEQUE 1,693.00 DEBITOS Y/O CREDITO2,520.00 DEPOSITOS

10,620.00 TOTAL ENTREGADO10,618.95 REPORTE SISTEMA

1.05 SOBRANTE / FALTANTE

Page 781: cuadre daniela.xlsx
Page 782: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:03-09-09

Luis portillo cantidad total

2.00 2.00

1.00 2.00

0.00 0.00

6.00 60.00

12.00 240.00

77.00 3,850.00

0.00 0.00

4,154.00

0.00764.00

0.00

4,918.00

4,917.480.52

gaulizcantidad total

0.00 0.00

2.00 4.00

9.00 45.00

17.00 170.00

53.00 1,060.00

16.00 800.00

3.00 300.00

2,379.00

0.00580.00

0.00

2,959.002,958.99

0.01

Page 783: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

8.00 16.00

2.00 10.00

4.00 40.00

16.00 320.00

22.00 1,100.00

0.00 0.00

1,486.00

0.002,637.00

0.00

4,123.004,123.97

-0.97

quintiliocantidad total

1.00 1.00

1.00 2.00

1.00 5.00

1.00 10.00

5.00 100.00

1.00 50.00

0.00 0.00

168.00

0.000.000.00

168.00168.00

0.00

juan carlos cantidad total

0.00 0.00

0.00 0.00

Page 784: cuadre daniela.xlsx

1.00 5.00

4.00 40.00

0.00 0.00

0.00 0.00

1.00 100.00

145.00

0.000.000.00

145.00145.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

1.00 2.00

0.00 0.00

28.00 280.00

85.00 1,700.00

119.00 5,950.00

4.00 400.00

8,332.00

0.003,981.00

0.00

12,313.0012,313.44

-0.44

Page 785: cuadre daniela.xlsx
Page 786: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:04-09-09

Ventas 1: Luis portillo billetes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 9.00 180.00

50.00 9.00 450.00

100.00 1.00 100.00

EFECTIVO 749.00

CHEQUE 0.00DEBITOS Y/O CREDITO 657.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,406.00

REPORTE SISTEMA 1,406.00SOBRANTE / FALTANTE 0.00

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 4.00 8.00

5.00 11.00 55.00

10.00 2.00 20.00

20.00 52.00 1,040.00

50.00 14.00 700.00

100.00 6.00 600.00

EFECTIVO 2,423.00

CHEQUE 0.00DEBITOS Y/O CREDITO 775.01

DEPOSITOS 0.00

TOTAL ENTREGADO 3,198.01REPORTE SISTEMA 3,199.00SOBRANTE / FALTANTE -0.99

Page 787: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 26.00 520.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 530.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,650.00

DEPOSITOS 6,112.00

TOTAL ENTREGADO 8,292.00REPORTE SISTEMA 8,291.98SOBRANTE / FALTANTE 0.02

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 4.00 4.00

2.00 3.00 6.00

Page 788: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 0.00 0.00

20.00 4.00 80.00

50.00 11.00 550.00

100.00 0.00 0.00

EFECTIVO 640.00

CHEQUE 0.00DEBITOS Y/O CREDITO 920.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,560.00REPORTE SISTEMA 1,560.01SOBRANTE / FALTANTE -0.01

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 92.00 1,840.00

50.00 36.00 1,800.00

100.00 7.00 700.00

EFECTIVO 4,343.00

CHEQUE 0.00DEBITOS Y/O CREDITO 4,002.01

DEPOSITOS 6,112.00

TOTAL ENTREGADO 14,457.01REPORTE SISTEMA 14,456.99SOBRANTE / FALTANTE 0.02

Page 789: cuadre daniela.xlsx
Page 790: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:05-09-09

Ventas 1: Luis portillo billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 28.00

50.00 13.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 791: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 2.00

2.00 4.00

5.00 7.00

10.00 6.00

20.00 2.00

50.00 16.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

MERCANTIL DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 1.00

2.00 1.00

Page 792: cuadre daniela.xlsx

5.00 1.00

10.00 6.00

20.00 1.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 13.00

20.00 31.00

50.00 38.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 793: cuadre daniela.xlsx
Page 794: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

560.00 20.00

650.00 50.00

0.00 100.00

1,215.00 EFECTIVO

0.00 CHEQUE 1,697.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,912.00 TOTAL ENTREGADO

2,909.91 REPORTE SISTEMA2.09 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 795: cuadre daniela.xlsx

ventas 3:total billetes2.00 1.00

8.00 2.00

35.00 5.00

60.00 10.00

40.00 20.00

800.00 50.00

0.00 100.00

945.00 EFECTIVO

0.00 CHEQUE 1,829.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,774.99 TOTAL ENTREGADO2,775.96 REPORTE SISTEMA

-0.97 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

0.00 20.00

50.00 50.00

0.00 100.00

60.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

60.00 TOTAL ENTREGADO60.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes1.00 1.00

2.00 2.00

Page 796: cuadre daniela.xlsx

5.00 5.00

60.00 10.00

20.00 20.00

350.00 50.00

0.00 100.00

438.00 EFECTIVO

0.00 CHEQUE 235.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

673.00 TOTAL ENTREGADO672.02 REPORTE SISTEMA

0.98 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

0.00 2.00

5.00 5.00

130.00 10.00

620.00 20.00

1,900.00 50.00

0.00 100.00

2,656.00 EFECTIVO

0.00 CHEQUE 3,761.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,417.99 TOTAL ENTREGADO6,417.89 REPORTE SISTEMA

0.10 SOBRANTE / FALTANTE

Page 797: cuadre daniela.xlsx
Page 798: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:07-09-09

Luis portillo cantidad total

0.00 0.00

0.00 0.00

4.00 20.00

2.00 20.00

1.00 20.00

7.00 350.00

2.00 200.00

610.00

0.001,044.00

0.00

1,654.00

1,653.990.01

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 799: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

7.00 70.00

5.00 100.00

6.00 300.00

0.00 0.00

470.00

0.0035.000.00

505.00508.99

-3.99

quintiliocantidad total

1.00 1.00

1.00 2.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

3.00

0.000.000.00

3.003.000.00

juan carlos cantidad total

0.00 0.00

2.00 4.00

Page 800: cuadre daniela.xlsx

0.00 0.00

41.00 410.00

17.00 340.00

7.00 350.00

24.00 2,400.00

3,504.00

0.004,255.00

0.00

7,759.007,758.98

0.02

TOTAL EN VENTAScantidad total

0.00 0.00

1.00 2.00

2.00 10.00

50.00 500.00

24.00 480.00

20.00 1,000.00

26.00 2,600.00

4,592.00

0.005,334.00

0.00

9,926.009,924.96

1.04

Page 801: cuadre daniela.xlsx
Page 802: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:08-09-09

Ventas 1: Luis portillo billetes cantidad total

1.00 1.00 1.00

2.00 5.00 10.00

5.00 1.00 5.00

10.00 4.00 40.00

20.00 0.00 0.00

50.00 4.00 200.00

100.00 1.00 100.00

EFECTIVO 356.00

CHEQUE 551.78DEBITOS Y/O CREDITO 1,357.00

DEPOSITOS 6,869.74

TOTAL ENTREGADO 9,134.52

REPORTE SISTEMA 9,734.79SOBRANTE / FALTANTE -600.27

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 803: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 3.00 15.00

10.00 11.00 110.00

20.00 31.00 620.00

50.00 13.00 650.00

100.00 0.00 0.00

EFECTIVO 1,397.00

CHEQUE 2,001.00DEBITOS Y/O CREDITO 2,257.97

DEPOSITOS 0.00

TOTAL ENTREGADO 5,655.97REPORTE SISTEMA 5,655.99SOBRANTE / FALTANTE -0.02

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 13.00 260.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 260.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 260.00REPORTE SISTEMA 260.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 804: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 3.00 3.00

2.00 6.00 12.00

5.00 4.00 20.00

10.00 15.00 150.00

20.00 44.00 880.00

50.00 17.00 850.00

100.00 1.00 100.00

EFECTIVO 2,015.00

CHEQUE 2,552.78DEBITOS Y/O CREDITO 3,614.97

DEPOSITOS 7,470.00

TOTAL ENTREGADO 15,652.75REPORTE SISTEMA 15,650.78SOBRANTE / FALTANTE 1.97

Page 805: cuadre daniela.xlsx
Page 806: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:09-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 0.00

2.00 3.00

5.00 0.00

10.00 6.00

20.00 5.00

50.00 2.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMApertenece a l SOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 807: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 184.00

50.00 36.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 8.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 0.00

Page 808: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 192.00

50.00 41.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

PERTENECE A DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 809: cuadre daniela.xlsx
Page 810: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

6.00 2.00

0.00 5.00

60.00 10.00

100.00 20.00

100.00 50.00

300.00 100.00

566.00 EFECTIVO

0.00 CHEQUE 785.00 DEBITOS Y/O CREDITO

5,150.00 DEPOSITOS

6,501.00 TOTAL ENTREGADO

6,501.02 REPORTE SISTEMA-0.02 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 811: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

3,680.00 20.00

1,800.00 50.00

0.00 100.00

5,480.00 EFECTIVO

4,650.00 CHEQUE 2,521.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

12,651.99 TOTAL ENTREGADO12,652.00 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

160.00 20.00

0.00 50.00

0.00 100.00

160.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

160.00 TOTAL ENTREGADO160.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

0.00 2.00

Page 812: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes2.00 1.00

4.00 2.00

0.00 5.00

10.00 10.00

3,840.00 20.00

2,050.00 50.00

300.00 100.00

6,206.00 EFECTIVO

9,800.00 CHEQUE 3,306.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

19,312.99 TOTAL ENTREGADO19,313.02 REPORTE SISTEMA

-0.03 SOBRANTE / FALTANTELOS TRES MIL SE LE ENTREGA

Page 813: cuadre daniela.xlsx
Page 814: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:10-09-09

Luis portillo

cantidad total0.00 0.00

0.00 0.00

0.00 0.00

10.00 100.00

46.00 920.00

37.00 1,850.00

13.00 1,300.00

4,170.00

0.00530.00

0.00

4,700.00

4,700.01-0.01

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 815: cuadre daniela.xlsx

Giovanny paezcantidad total

0.00 0.00

6.00 12.00

0.00 0.00

3.00 30.00

10.00 200.00

3.00 150.00

0.00 0.00

392.00

0.00605.00

0.00

997.00997.01

-0.01

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.00360.00

0.00

360.00360.00

0.00

juan carlos cantidad total

0.00 0.00

2.00 4.00

Page 816: cuadre daniela.xlsx

1.00 5.00

0.00 0.00

0.00 0.00

49.00 2,450.00

2.00 200.00

2,659.00

0.00823.00

0.00

3,482.003,481.98

0.02

TOTAL EN VENTAScantidad total

1.00 1.00

0.00 0.00

0.00 0.00

5.00 50.00

66.00 1,320.00

57.00 2,850.00

0.00 0.00

4,221.00

0.002,318.00

0.00

6,539.009,539.00-3,000.00

,,

Page 817: cuadre daniela.xlsx
Page 818: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:11-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 0.00 0.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 11.00 550.00

100.00 2.00 200.00

EFECTIVO 774.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,027.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,801.00

REPORTE SISTEMA 2,800.99SOBRANTE / FALTANTE 0.01

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 819: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 2.00 10.00

10.00 7.00 70.00

20.00 2.00 40.00

50.00 3.00 150.00

100.00 2.00 200.00

EFECTIVO 470.00

CHEQUE 5,661.00DEBITOS Y/O CREDITO 100.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,231.00REPORTE SISTEMA 6,231.89SOBRANTE / FALTANTE -0.89

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 3.00 3.00

2.00 0.00 0.00

Page 820: cuadre daniela.xlsx

5.00 1.00 5.00

10.00 10.00 100.00

20.00 0.00 0.00

50.00 21.00 1,050.00

100.00 0.00 0.00

EFECTIVO 1,158.00

CHEQUE 0.00DEBITOS Y/O CREDITO 200.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,358.00REPORTE SISTEMA 1,357.99SOBRANTE / FALTANTE 0.01

TOTAL EN VENTASbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 4.00 20.00

10.00 17.00 170.00

20.00 3.00 60.00

50.00 15.00 750.00

100.00 4.00 400.00

EFECTIVO 1,402.00

CHEQUE 5,661.00DEBITOS Y/O CREDITO 2,327.00

DEPOSITOS 0.00

TOTAL ENTREGADO 9,390.00REPORTE SISTEMA 9,390.87SOBRANTE / FALTANTE -0.87

Page 821: cuadre daniela.xlsx
Page 822: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:12-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 3.00

2.00 1.00

5.00 3.00

10.00 12.00

20.00 3.00

50.00 5.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 823: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 3.00

Page 824: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 0.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 3.00

2.00 0.00

5.00 1.00

10.00 9.00

20.00 9.00

50.00 8.00

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 825: cuadre daniela.xlsx
Page 826: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

3.00 1.00

2.00 2.00

15.00 5.00

120.00 10.00

60.00 20.00

250.00 50.00

900.00 100.00

1,350.00 EFECTIVO

0.00 CHEQUE 1,705.00 DEBITOS Y/O CREDITO

50.00 PRETAMO DE DEPOSITOS

3,105.00 TOTAL ENTREGADO

3,105.01 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 827: cuadre daniela.xlsx

ventas 3:total billetes1.00 1.00

0.00 2.00

5.00 5.00

0.00 10.00

20.00 20.00

50.00 50.00

0.00 100.00

76.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

76.00 TOTAL ENTREGADO75.99 REPORTE SISTEMA0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

100.00 100.00

100.00 EFECTIVO

0.00 CHEQUE 500.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

600.00 TOTAL ENTREGADO600.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

6.00 2.00

Page 828: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

0.00 20.00

50.00 50.00

100.00 100.00

156.00 EFECTIVO

0.00 CHEQUE 1,392.00 DEBITOS Y/O CREDITO4,450.02 CREDIFACIL DEPOSITOS

5,998.02 TOTAL ENTREGADO6,044.02 REPORTE SISTEMA

-46.00 FALTANTE PE SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes3.00 1.00

0.00 2.00

5.00 5.00

90.00 10.00

180.00 20.00

400.00 50.00

1,100.00 100.00

1,778.00 EFECTIVO

0.00 CHEQUE 3,597.00 DEBITOS Y/O CREDITO4,450.02 CREDIFACIL DEPOSITOS

9,825.02 TOTAL ENTREGADO9,825.02 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

Page 829: cuadre daniela.xlsx
Page 830: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:14-09-09

Luis portillo

cantidad total1.00 1.00

2.00 4.00

1.00 5.00

0.00 0.00

24.00 480.00

1.00 50.00

1.00 100.00

640.00

1,315.005,292.00

0.00

7,247.00

7,277.01-30.01

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 831: cuadre daniela.xlsx

Giovanny paezcantidad total

2.00 2.00

3.00 6.00

6.00 30.00

6.00 60.00

6.00 120.00

6.00 300.00

6.00 600.00

1,118.00

0.007,628.99

0.00

8,746.998,716.99

30.00

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

3.00 60.00

0.00 0.00

1.00 100.00

160.00

0.000.000.00

160.00160.00

0.00

juan carlos cantidad total

0.00 0.00

3.00 6.00

Page 832: cuadre daniela.xlsx

0.00 0.00

42.00 420.00

16.00 320.00

2.00 100.00

2.00 200.00

1,046.00

0.003,675.00

0.00

4,721.004,721.00

0.00

TOTAL EN VENTAScantidad total

0.00 0.00

2.00 4.00

0.00 0.00

50.00 500.00

33.00 660.00

0.00 0.00

0.00 0.00

1,164.00

1,315.0016,595.99

0.00

19,074.9919,075.00

-0.01

Page 833: cuadre daniela.xlsx
Page 834: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:15-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 1.00 1.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 6.00 120.00

50.00 2.00 100.00

100.00 1.00 100.00

EFECTIVO 326.00

CHEQUE 4,226.00DEBITOS Y/O CREDITO 1,285.00

DEPOSITOS 15.00

TOTAL ENTREGADO 5,852.00

REPORTE SISTEMA 5,851.01SOBRANTE / FALTANTE 0.99

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 835: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 12.00 120.00

20.00 30.00 600.00

50.00 16.00 800.00

100.00 10.00 1,000.00

EFECTIVO 2,522.00

CHEQUE 2,700.00DEBITOS Y/O CREDITO 4,257.98

DEPOSITOS 0.00

TOTAL ENTREGADO 9,479.98REPORTE SISTEMA 9,480.00SOBRANTE / FALTANTE -0.02

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 4.00 200.00

100.00 0.00 0.00

EFECTIVO 230.00

CHEQUE 0.00DEBITOS Y/O CREDITO 160.00

DEPOSITOS 0.00

TOTAL ENTREGADO 390.00REPORTE SISTEMA 390.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 836: cuadre daniela.xlsx

5.00 2.00 10.00

10.00 1.00 10.00

20.00 25.00 500.00

50.00 9.00 450.00

100.00 0.00 0.00

EFECTIVO 970.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,917.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,887.00REPORTE SISTEMA 2,900.00SOBRANTE / FALTANTE -13.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 2.00 4.00

5.00 4.00 20.00

10.00 14.00 140.00

20.00 63.00 1,260.00

50.00 31.00 1,550.00

100.00 11.00 1,100.00

EFECTIVO 4,075.00

CHEQUE 6,926.00DEBITOS Y/O CREDITO 7,619.98

DEPOSITOS 0.00

TOTAL ENTREGADO 18,620.98REPORTE SISTEMA 18,621.01SOBRANTE / FALTANTE -0.03

Page 837: cuadre daniela.xlsx
Page 838: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:16-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 1.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 0.00

50.00 20.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

de agua q gio DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 839: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 7.00

2.00 4.00

5.00 1.00

10.00 46.00

20.00 135.00

50.00 65.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 3.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 1.00

Page 840: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 4.00

50.00 22.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

ES DE LA DEV SOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 3.00

2.00 2.00

5.00 1.00

10.00 51.00

20.00 138.00

50.00 110.00

100.00 17.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 841: cuadre daniela.xlsx
Page 842: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

1.00 1.00

2.00 2.00

5.00 5.00

0.00 10.00

0.00 20.00

1,000.00 50.00

0.00 100.00

1,008.00 EFECTIVO

1,669.00 CHEQUE 3,105.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,782.00 TOTAL ENTREGADO

5,781.99 REPORTE SISTEMA0.01 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 843: cuadre daniela.xlsx

ventas 3:total billetes7.00 1.00

8.00 2.00

5.00 5.00

460.00 10.00

2,700.00 20.00

3,250.00 50.00

1,400.00 100.00

7,830.00 EFECTIVO

3,000.00 CHEQUE 3,085.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

13,915.00 TOTAL ENTREGADO13,915.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

0.00 20.00

150.00 50.00

0.00 100.00

160.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

160.00 TOTAL ENTREGADO160.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

2.00 2.00

Page 844: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

80.00 20.00

1,100.00 50.00

300.00 100.00

1,482.00 EFECTIVO

0.00 CHEQUE 2,507.64 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,989.64 TOTAL ENTREGADO3,989.62 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes3.00 1.00

4.00 2.00

5.00 5.00

510.00 10.00

2,760.00 20.00

5,500.00 50.00

1,700.00 100.00

10,482.00 EFECTIVO

4,669.00 CHEQUE 8,697.64 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

23,848.64 TOTAL ENTREGADO23,846.62 REPORTE SISTEMA

2.02 SOBRANTE / FALTANTE

Page 845: cuadre daniela.xlsx
Page 846: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:17-09-09

Luis portillo

cantidad total0.00 0.00

1.00 2.00

1.00 5.00

1.00 10.00

4.00 80.00

20.00 1,000.00

3.00 300.00

1,397.00

899.001,976.00

0.00

4,272.00

4,272.01-0.01

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 847: cuadre daniela.xlsx

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

2.00 10.00

1.00 10.00

11.00 220.00

15.00 750.00

2.00 200.00

1,191.00

0.00861.00

0.00

2,052.002,052.03

-0.03

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

0.00 0.00

3.00 150.00

0.00 0.00

160.00

0.000.000.00

160.00160.00

0.00

juan carlos cantidad total

0.00 0.00

2.00 4.00

Page 848: cuadre daniela.xlsx

1.00 5.00

5.00 50.00

7.00 140.00

6.00 300.00

0.00 0.00

499.00

0.00475.00

0.00

974.00974.00

0.00

TOTAL EN VENTAScantidad total

1.00 1.00

3.00 6.00

4.00 20.00

8.00 80.00

22.00 440.00

44.00 2,200.00

5.00 500.00

3,247.00

899.003,312.00

0.00

7,458.007,458.04

-0.04

Page 849: cuadre daniela.xlsx
Page 850: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:18-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 2.00 2.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 7.00 70.00

20.00 34.00 680.00

50.00 15.00 750.00

100.00 6.00 600.00

EFECTIVO 2,104.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,183.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,287.00

REPORTE SISTEMA 3,287.03SOBRANTE / FALTANTE -0.03

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 0.00REPORTE SISTEMA 0.00SOBRANTE / FALTANTE 0.00

Page 851: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 62.00 620.00

20.00 3.00 60.00

50.00 14.00 700.00

100.00 1.00 100.00

EFECTIVO 1,487.00

CHEQUE 3,232.00DEBITOS Y/O CREDITO 1,300.00

DEPOSITOS 0.00

TOTAL ENTREGADO 6,019.00REPORTE SISTEMA 6,019.00SOBRANTE / FALTANTE 0.00

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 2.00 100.00

100.00 0.00 0.00

EFECTIVO 140.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 140.00REPORTE SISTEMA 140.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 852: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 1.00 10.00

20.00 5.00 100.00

50.00 10.00 500.00

100.00 1.00 100.00

EFECTIVO 710.00

CHEQUE 0.00DEBITOS Y/O CREDITO 325.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,035.00REPORTE SISTEMA 1,064.01SOBRANTE / FALTANTE -29.01

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 57.00 570.00

20.00 45.00 900.00

50.00 40.00 2,000.00

100.00 10.00 1,000.00

EFECTIVO 4,470.00

CHEQUE 387.00DEBITOS Y/O CREDITO 2,808.00

DEPOSITOS 2,845.00

TOTAL ENTREGADO 10,510.00REPORTE SISTEMA 10,510.04SOBRANTE / FALTANTE -0.04

Page 853: cuadre daniela.xlsx
Page 854: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:19-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 0.00

2.00 3.00

5.00 1.00

10.00 8.00

20.00 22.00

50.00 10.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 855: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 4.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 3.00

Page 856: cuadre daniela.xlsx

5.00 0.00

10.00 1.00

20.00 5.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMA

LOS SAQUE DESOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 15.00

20.00 31.00

50.00 18.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 857: cuadre daniela.xlsx
Page 858: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

6.00 2.00

5.00 5.00

80.00 10.00

440.00 20.00

500.00 50.00

0.00 100.00

1,031.00 EFECTIVO

0.00 CHEQUE 1,872.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,903.00 TOTAL ENTREGADO

2,903.03 REPORTE SISTEMA-0.03 SOBRANTE / FALTANTE

ventas 2: total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

Page 859: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

2.00 2.00

5.00 5.00

0.00 10.00

80.00 20.00

350.00 50.00

0.00 100.00

437.00 EFECTIVO

1,486.00 CHEQUE 4,693.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

6,616.00 TOTAL ENTREGADO6,615.99 REPORTE SISTEMA

0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

0.00 TOTAL ENTREGADO0.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

6.00 2.00

Page 860: cuadre daniela.xlsx

0.00 5.00

10.00 10.00

100.00 20.00

100.00 50.00

0.00 100.00

216.00 EFECTIVO

0.00 CHEQUE 1,130.00 DEBITOS Y/O CREDITO

90.00 el transporte DEPOSITOS

1,436.00 TOTAL ENTREGADO1,436.02 REPORTE SISTEMA

-0.02 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes1.00 1.00

2.00 2.00

0.00 5.00

150.00 10.00

620.00 20.00

900.00 50.00

100.00 100.00

1,773.00 EFECTIVO

1,486.00 CHEQUE 7,695.99 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,954.99 TOTAL ENTREGADO10,955.04 REPORTE SISTEMA

-0.05 SOBRANTE / FALTANTE

Page 861: cuadre daniela.xlsx
Page 862: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:21-09-09

Luis portillo

cantidad total0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.00

0.000.00

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

Page 863: cuadre daniela.xlsx

Giovanny paezcantidad total

3.00 3.00

6.00 12.00

2.00 10.00

0.00 0.00

72.00 1,440.00

89.00 4,450.00

3.00 300.00

6,215.00

420.002,169.00

0.00

8,804.008,804.06

-0.06

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

juan carlos cantidad total

1.00 1.00

0.00 0.00

Page 864: cuadre daniela.xlsx

0.00 0.00

2.00 20.00

8.00 160.00

3.00 150.00

1.00 100.00

431.00

0.001,477.00

0.00

1,908.001,908.00

0.00

TOTAL EN VENTAScantidad total

1.00 1.00

0.00 0.00

1.00 5.00

2.00 20.00

76.00 1,520.00

92.00 4,600.00

5.00 500.00

6,646.00

420.003,646.00

0.00

10,712.0010,712.06

-0.06

Page 865: cuadre daniela.xlsx
Page 866: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:22-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 6.00 120.00

50.00 5.00 250.00

100.00 0.00 0.00

EFECTIVO 375.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,837.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,212.00

REPORTE SISTEMA 2,212.01SOBRANTE / FALTANTE -0.01

ventas 2: gaulizbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 4.00 40.00

20.00 7.00 140.00

50.00 8.00 400.00

100.00 4.00 400.00

EFECTIVO 981.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,035.01

DEPOSITOS 0.00

TOTAL ENTREGADO 3,016.01REPORTE SISTEMA 3,016.01SOBRANTE / FALTANTE 0.00

Page 867: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 27.00 540.00

50.00 14.00 700.00

100.00 2.00 200.00

EFECTIVO 1,455.00

CHEQUE 0.00DEBITOS Y/O CREDITO 6,140.99

DEPOSITOS 0.00

TOTAL ENTREGADO 7,595.99REPORTE SISTEMA 7,596.02SOBRANTE / FALTANTE -0.03

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 1.00 20.00

50.00 0.00 0.00

100.00 1.00 100.00

EFECTIVO 122.00

CHEQUE 0.00DEBITOS Y/O CREDITO 135.00

DEPOSITOS 0.00

TOTAL ENTREGADO 257.00REPORTE SISTEMA 257.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 2.00 2.00

2.00 0.00 0.00

Page 868: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 2.00 20.00

20.00 3.00 60.00

50.00 28.00 1,400.00

100.00 1.00 100.00

EFECTIVO 1,582.00

CHEQUE 0.00DEBITOS Y/O CREDITO 740.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,322.00REPORTE SISTEMA 2,321.99SOBRANTE / FALTANTE 0.01

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 5.00 50.00

20.00 38.00 760.00

50.00 54.00 2,700.00

100.00 10.00 1,000.00

EFECTIVO 4,515.00

CHEQUE 0.00DEBITOS Y/O CREDITO 10,888.00

DEPOSITOS 0.00

TOTAL ENTREGADO 15,403.00REPORTE SISTEMA 15,403.04SOBRANTE / FALTANTE -0.04

Page 869: cuadre daniela.xlsx
Page 870: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:23-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 0.00

2.00 0.00

5.00 0.00

10.00 82.00

20.00 11.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 1.00

2.00 0.00

5.00 1.00

10.00 21.00

20.00 13.00

50.00 29.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 871: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 11.00

20.00 4.00

50.00 10.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 1.00

2.00 1.00

Page 872: cuadre daniela.xlsx

5.00 1.00

10.00 7.00

20.00 28.00

50.00 32.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 2.00

2.00 4.00

5.00 2.00

10.00 121.00

20.00 55.00

50.00 74.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 873: cuadre daniela.xlsx
Page 874: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

0.00 5.00

820.00 10.00

220.00 20.00

100.00 50.00

0.00 100.00

1,140.00 EFECTIVO

0.00 CHEQUE 640.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,780.00 TOTAL ENTREGADO

1,780.01 REPORTE SISTEMA-0.01 SOBRANTE / FALTANTE

ventas 2: total billetes1.00 1.00

0.00 2.00

5.00 5.00

210.00 10.00

260.00 20.00

1,450.00 50.00

0.00 100.00

1,926.00 EFECTIVO

0.00 CHEQUE 1,525.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,451.00 TOTAL ENTREGADO3,451.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

Page 875: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

6.00 2.00

0.00 5.00

110.00 10.00

80.00 20.00

500.00 50.00

500.00 100.00

1,196.00 EFECTIVO

3,890.09 CHEQUE 2,561.00 DEBITOS Y/O CREDITO4,321.00 DEPOSITOS

11,968.09 TOTAL ENTREGADO11,968.10 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

ventas 5total billetes0.00 1.00

0.00 2.00

0.00 5.00

10.00 10.00

20.00 20.00

0.00 50.00

0.00 100.00

30.00 EFECTIVO

0.00 CHEQUE 90.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

120.00 TOTAL ENTREGADO120.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

ventas 6total billetes1.00 1.00

2.00 2.00

Page 876: cuadre daniela.xlsx

5.00 5.00

70.00 10.00

560.00 20.00

1,600.00 50.00

800.00 100.00

3,038.00 EFECTIVO

0.00 CHEQUE 2,285.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

5,323.00 TOTAL ENTREGADO5,323.00 REPORTE SISTEMA

0.00 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes2.00 1.00

8.00 2.00

10.00 5.00

1,210.00 10.00

1,100.00 20.00

3,700.00 50.00

1,300.00 100.00

7,330.00 EFECTIVO

0.00 CHEQUE 7,101.00 DEBITOS Y/O CREDITO8,211.09 DEPOSITOS

22,642.09 TOTAL ENTREGADO22,642.12 REPORTE SISTEMA

-0.03 SOBRANTE / FALTANTE

Page 877: cuadre daniela.xlsx
Page 878: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:24-09-09

Luis portillo

cantidad total0.00 0.00

1.00 2.00

6.00 30.00

0.00 0.00

27.00 540.00

21.00 1,050.00

1.00 100.00

1,722.00

0.00355.00

0.00

2,077.00

2,106.97-29.97 por nomina

gaulizcantidad total

0.00 0.00

0.00 0.00

0.00 0.00

1.00 10.00

13.00 260.00

9.00 450.00

0.00 0.00

720.00

0.001,149.00

0.00

1,869.001,980.01

-111.01 por nomina

Page 879: cuadre daniela.xlsx

Giovanny paezcantidad total

3.00 3.00

1.00 2.00

1.00 5.00

49.00 490.00

25.00 500.00

8.00 400.00

0.00 0.00

1,400.00

0.001,545.99

0.00

2,945.992,946.01

-0.02 por nomina

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.0066.000.00

66.0065.990.01

juan carlos cantidad total

0.00 0.00

0.00 0.00

Page 880: cuadre daniela.xlsx

0.00 0.00

1.00 10.00

1.00 20.00

3.00 150.00

0.00 0.00

180.00

0.005,295.00

0.00

5,475.005,480.00

-5.00 por nomina

TOTAL EN VENTAScantidad total

4.00 4.00

2.00 4.00

0.00 0.00

59.00 590.00

66.00 1,320.00

41.00 2,050.00

2.00 200.00

4,168.00

0.008,410.99

0.00

12,578.9912,578.97

0.02

Page 881: cuadre daniela.xlsx
Page 882: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:25-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 3.00 3.00

2.00 2.00 4.00

5.00 0.00 0.00

10.00 29.00 290.00

20.00 18.00 360.00

50.00 12.00 600.00

100.00 0.00 0.00

EFECTIVO 1,257.00

CHEQUE 0.00DEBITOS Y/O CREDITO 400.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,657.00

REPORTE SISTEMA 1,657.02SOBRANTE / FALTANTE -0.02

ventas 2: gaulizbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 0.00 0.00

20.00 8.00 160.00

50.00 5.00 250.00

100.00 2.00 200.00

EFECTIVO 615.00

CHEQUE 0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 615.00REPORTE SISTEMA 615.03SOBRANTE / FALTANTE -0.03

Page 883: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 0.00 0.00

2.00 2.00 4.00

5.00 1.00 5.00

10.00 1.00 10.00

20.00 1.00 20.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 189.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,113.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,302.00REPORTE SISTEMA 1,302.01SOBRANTE / FALTANTE -0.01

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 6.00 300.00

100.00 0.00 0.00

EFECTIVO 340.00

CHEQUE 0.00DEBITOS Y/O CREDITO 45.00

DEPOSITOS 0.00

TOTAL ENTREGADO 385.00REPORTE SISTEMA 385.01SOBRANTE / FALTANTE -0.01

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 884: cuadre daniela.xlsx

5.00 0.00 0.00

10.00 2.00 20.00

20.00 9.00 180.00

50.00 9.00 450.00

100.00 1.00 100.00

EFECTIVO 750.00

CHEQUE 0.00DEBITOS Y/O CREDITO 825.00

DEPOSITOS 50.00

TOTAL ENTREGADO 1,625.00REPORTE SISTEMA 1,625.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 1.00 1.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 24.00 240.00

20.00 38.00 760.00

50.00 34.00 1,700.00

100.00 5.00 500.00

EFECTIVO 3,201.00

CHEQUE 0.00DEBITOS Y/O CREDITO 2,383.00

DEPOSITOS 0.00

TOTAL ENTREGADO 5,584.00REPORTE SISTEMA 5,584.07SOBRANTE / FALTANTE -0.07

Page 885: cuadre daniela.xlsx
Page 886: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:26-09-09

Ventas 1: Luis portillo

billetes cantidad1.00 0.00

2.00 0.00

5.00 1.00

10.00 16.00

20.00 18.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 2.00

2.00 2.00

5.00 1.00

10.00 19.00

20.00 7.00

50.00 14.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 887: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 11.00

20.00 3.00

50.00 3.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 1.00

20.00 4.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 0.00

Page 888: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

GASTOS INST DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 48.00

20.00 32.00

50.00 21.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 889: cuadre daniela.xlsx
Page 890: cuadre daniela.xlsx

Gallery Computer, c.a Gallery Computer, c.a

Ventas 1: total billetes

0.00 1.00

0.00 2.00

5.00 5.00

160.00 10.00

360.00 20.00

200.00 50.00

0.00 100.00

725.00 EFECTIVO

0.00 CHEQUE 2,301.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,026.00 TOTAL ENTREGADO

3,024.96 REPORTE SISTEMA1.04 SOBRANTE / FALTANTE

ventas 2: total billetes2.00 1.00

4.00 2.00

5.00 5.00

190.00 10.00

140.00 20.00

700.00 50.00

100.00 100.00

1,141.00 EFECTIVO

0.00 CHEQUE 1,311.01 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

2,452.01 TOTAL ENTREGADO2,454.01 REPORTE SISTEMA

-2.00 SOBRANTE / FALTANTE

Page 891: cuadre daniela.xlsx

ventas 3:total billetes0.00 1.00

0.00 2.00

0.00 5.00

110.00 10.00

60.00 20.00

150.00 50.00

100.00 100.00

420.00 EFECTIVO

0.00 CHEQUE 940.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

1,360.00 TOTAL ENTREGADO1,359.01 REPORTE SISTEMA

0.99 SOBRANTE / FALTANTE

ventas 5total billetes1.00 1.00

2.00 2.00

0.00 5.00

10.00 10.00

80.00 20.00

0.00 50.00

0.00 100.00

93.00 EFECTIVO

0.00 CHEQUE 0.00 DEBITOS Y/O CREDITO0.00 DEPOSITOS

93.00 TOTAL ENTREGADO93.00 REPORTE SISTEMA0.00 SOBRANTE / FALTANTE

ventas 6total billetes0.00 1.00

0.00 2.00

Page 892: cuadre daniela.xlsx

0.00 5.00

0.00 10.00

0.00 20.00

0.00 50.00

0.00 100.00

0.00 EFECTIVO

0.00 CHEQUE 3,315.00 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

3,315.00 TOTAL ENTREGADO3,315.01 REPORTE SISTEMA

-0.01 SOBRANTE / FALTANTE

TOTAL EN VENTAS TOTAL EN VENTAStotal billetes0.00 1.00

4.00 2.00

5.00 5.00

480.00 10.00

640.00 20.00

1,050.00 50.00

200.00 100.00

2,379.00 EFECTIVO

0.00 CHEQUE 7,867.01 DEBITOS Y/O CREDITO

0.00 DEPOSITOS

10,246.01 TOTAL ENTREGADO10,245.99 REPORTE SISTEMA

0.02 SOBRANTE / FALTANTE

Page 893: cuadre daniela.xlsx
Page 894: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:28-09-09

Luis portillo

cantidad total4.00 4.00

3.00 6.00

0.00 0.00

1.00 10.00

2.00 40.00

10.00 500.00

0.00 0.00

560.00

0.00260.00

0.00

820.00

831.00-11.00 EL LOS PAGA

gaulizcantidad total

0.00 0.00

1.00 2.00

1.00 5.00

1.00 10.00

3.00 60.00

4.00 200.00

4.00 400.00

677.00

0.00162.00

0.00

839.00838.99

0.01

Page 895: cuadre daniela.xlsx

Giovanny paezcantidad total

1.00 1.00

0.00 0.00

0.00 0.00

3.00 30.00

13.00 260.00

4.00 200.00

3.00 300.00

791.00

0.00500.00

0.00

1,291.001,290.99

0.01

quintiliocantidad total

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00 0.00

0.00

0.000.000.00

0.000.000.00

juan carlos cantidad total

0.00 0.00

2.00 4.00

Page 896: cuadre daniela.xlsx

1.00 5.00

3.00 30.00

6.00 120.00

9.00 450.00

0.00 0.00

609.00

672.00405.00321.00 MAS 321 EN

2,007.002,074.00

-67.00 EL LOS PAGA

TOTAL EN VENTAScantidad total

1.00 1.00

0.00 0.00

1.00 5.00

10.00 100.00

24.00 480.00

29.00 1,450.00

10.00 1,000.00

3,036.00

672.001,327.00

0.00

5,035.005,034.98

0.02

Page 897: cuadre daniela.xlsx
Page 898: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:29-09-09

Ventas 1: Luis portillo

billetes cantidad total1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 1.00 10.00

20.00 25.00 500.00

50.00 30.00 1,500.00

100.00 1.00 100.00

EFECTIVO 2,112.00

CHEQUE 0.00DEBITOS Y/O CREDITO 969.00

DEPOSITOS 0.00

TOTAL ENTREGADO 3,081.00

REPORTE SISTEMA 3,081.01SOBRANTE / FALTANTE -0.01

ventas 2: gaulizbilletes cantidad total

1.00 2.00 2.00

2.00 1.00 2.00

5.00 2.00 10.00

10.00 3.00 30.00

20.00 10.00 200.00

50.00 3.00 150.00

100.00 0.00 0.00

EFECTIVO 394.00

CHEQUE 0.00DEBITOS Y/O CREDITO 997.00

DEPOSITOS 579.00

TOTAL ENTREGADO 1,970.00REPORTE SISTEMA 1,969.99SOBRANTE / FALTANTE 0.01

Page 899: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad total

1.00 5.00 5.00

2.00 1.00 2.00

5.00 1.00 5.00

10.00 17.00 170.00

20.00 4.00 80.00

50.00 63.00 3,150.00

100.00 2.00 200.00

EFECTIVO 3,612.00

CHEQUE 0.00DEBITOS Y/O CREDITO 1,405.01

DEPOSITOS 0.00

TOTAL ENTREGADO 5,017.01REPORTE SISTEMA 5,017.04SOBRANTE / FALTANTE -0.03

ventas 5 quintiliobilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 1.00 5.00

10.00 4.00 40.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 45.00

CHEQUE 0.00DEBITOS Y/O CREDITO 200.00

DEPOSITOS 0.00

TOTAL ENTREGADO 245.00REPORTE SISTEMA 245.00SOBRANTE / FALTANTE 0.00

ventas 6 juan carlos billetes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

Page 900: cuadre daniela.xlsx

5.00 2.00 10.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 9.00 450.00

100.00 1.00 100.00

EFECTIVO 600.00

CHEQUE 0.00DEBITOS Y/O CREDITO 562.00

DEPOSITOS 0.00

TOTAL ENTREGADO 1,162.00REPORTE SISTEMA 1,161.99SOBRANTE / FALTANTE 0.01

ventas 7 jortinbilletes cantidad total

1.00 0.00 0.00

2.00 0.00 0.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 0.00 0.00

50.00 0.00 0.00

100.00 0.00 0.00

EFECTIVO 0.00

CHEQUE 7,236.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 7,236.00REPORTE SISTEMA 7,236.00SOBRANTE / FALTANTE 0.00

TOTAL EN VENTASbilletes cantidad total

1.00 0.00 0.00

2.00 1.00 2.00

5.00 0.00 0.00

10.00 0.00 0.00

20.00 2.00 40.00

50.00 46.00 2,300.00

100.00 0.00 0.00

EFECTIVO 2,342.00

CHEQUE 7,236.00DEBITOS Y/O CREDITO 4,133.01

Page 901: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 13,711.01REPORTE SISTEMA 13,711.03SOBRANTE / FALTANTE -0.02

Page 902: cuadre daniela.xlsx

Gallery Computer, c.a

Fecha:30-09-09

Ventas 1: Luis portillo billetes cantidad

1.00 3.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 4.00

50.00 13.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

REPORTE SISTEMASOBRANTE / FALTANTE

ventas 2: gaulizbilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 3.00

50.00 21.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 903: cuadre daniela.xlsx

ventas 3: Giovanny paezbilletes cantidad

1.00 4.00

2.00 1.00

5.00 1.00

10.00 2.00

20.00 18.00

50.00 7.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 5 quintiliobilletes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 3.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

ventas 6 juan carlos billetes cantidad

1.00 0.00

2.00 2.00

Page 904: cuadre daniela.xlsx

5.00 6.00

10.00 8.00

20.00 16.00

50.00 10.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

TOTAL EN VENTASbilletes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 17.00

20.00 45.00

50.00 53.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADOREPORTE SISTEMASOBRANTE / FALTANTE

Page 905: cuadre daniela.xlsx
Page 906: cuadre daniela.xlsx

Gallery Computer, c.a

total3.00

4.00

0.00

10.00

80.00

650.00

100.00

847.00

0.002,685.01

0.00

3,532.01

3,533.02-1.01

total0.00

0.00

0.00

0.00

60.00

1,050.00

0.00

1,110.00

0.00495.00

0.00

1,605.001,604.00

1.00

Page 907: cuadre daniela.xlsx

total4.00

2.00

5.00

20.00

360.00

350.00

200.00

941.00

5,922.503,078.05

0.00

9,941.559,941.55

0.00

total0.00

0.00

0.00

0.00

60.00

50.00

0.00

110.00

0.000.000.00

110.00110.00

0.00

total0.00

4.00

Page 908: cuadre daniela.xlsx

30.00

80.00

320.00

500.00

0.00

934.00

805.00765.0080.00

2,584.002,584.02

-0.02

TOTAL EN VENTAStotal1.00

2.00

0.00

170.00

900.00

2,650.00

300.00

4,023.00

6,727.507,023.06

0.00

17,773.5617,772.59

0.97

Page 909: cuadre daniela.xlsx
Page 910: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 18.00

20.00 9.00

50.00 9.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/3/2010

Ventas 2: DOLFRAN billetes cantidad

1.00 2.00

2.00 13.00

5.00 4.00

10.00 12.00

20.00 8.00

50.00 48.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/4/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 4.00

5.00 0.00

10.00 117.00

Page 911: cuadre daniela.xlsx

20.00 8.00

50.00 55.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/5/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 7.00

20.00 7.00

50.00 19.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/6/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 20.00

20.00 43.00

50.00 0.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 912: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

5/7/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 3.00

50.00 6.00

100.00 33.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS RECICLAJE DE TONER

TOTAL ENTREGADO

5/8/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 0.00

5.00 0.00

10.00 20.00

20.00 44.00

50.00 61.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS juan carlos

TOTAL ENTREGADO

5/12/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 913: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 7.00

20.00 13.00

50.00 1.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS juan carlos

TOTAL ENTREGADO

5/13/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 20.00

50.00 8.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JUAN CARLOS

TOTAL ENTREGADO

5/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 94.00

50.00 102.00

100.00 7.00

EFECTIVO

CHEQUE

Page 914: cuadre daniela.xlsx

DEBITOS Y/O CREDITODEPOSITOS

TOTAL ENTREGADO

5/16/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 4.00

5.00 0.00

10.00 0.00

20.00 18.00

50.00 9.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/17/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 4.00

5.00 0.00

10.00 2.00

20.00 13.00

50.00 14.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/18/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 915: cuadre daniela.xlsx

1.00 0.00

2.00 2.00

5.00 0.00

10.00 19.00

20.00 27.00

50.00 72.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/19/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 3.00

5.00 9.00

10.00 33.00

20.00 17.00

50.00 71.00

100.00 56.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/20/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 25.00

5.00 8.00

10.00 5.00

20.00 5.00

50.00 4.00

100.00 1.00

EFECTIVO

CHEQUE

Page 916: cuadre daniela.xlsx

DEBITOS Y/O CREDITODEPOSITOS

TOTAL ENTREGADO

5/21/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 7.00

20.00 2.00

50.00 9.00

100.00 54.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/22/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 0.00

20.00 32.00

50.00 31.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO puntos + extra credito banesco

DEPOSITOS

TOTAL ENTREGADO

5/24/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 917: cuadre daniela.xlsx

1.00 0.00

2.00 3.00

5.00 1.00

10.00 2.00

20.00 21.00

50.00 24.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS viaticos

TOTAL ENTREGADO

5/25/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 2.00

10.00 37.00

20.00 0.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JORTIN 100 JUAN CARLOS 40

TOTAL ENTREGADO

5/26/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 4.00

50.00 12.00

100.00 3.00

EFECTIVO

CHEQUE

Page 918: cuadre daniela.xlsx

DEBITOS Y/O CREDITODEPOSITOS JUAN CARLOS

TOTAL ENTREGADO

5/27/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 2.00

5.00 1.00

10.00 2.00

20.00 0.00

50.00 14.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JUAN CARLOS

TOTAL ENTREGADO

5/28/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 3.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 9.00

50.00 22.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS agua

TOTAL ENTREGADO

5/29/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 919: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 20.00

50.00 5.00

100.00 33.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO PUNTOS + EXTRA CREDITO BANESCO

DEPOSITOS JUAN CARLOS

TOTAL ENTREGADO

5/30/2010

TOTAL MES: 199,333,33

Page 920: cuadre daniela.xlsx

total1.00

2.00

5.00

180.00

180.00

450.00

100.00

918.00

0.003,290.00

12.00

4,220.00

total2.00

26.00

20.00

120.00

160.00

2,400.00

500.00

3,228.00

0.002,580.00

60.00

5,868.00

total0.00

8.00

0.00

1,170.00

Page 921: cuadre daniela.xlsx

160.00

2,750.00

900.00

4,988.00

436.002,220.00

0.00

7,644.00

total0.00

0.00

5.00

70.00

140.00

950.00

900.00

2,065.00

3,800.005,115.00

0.00

10,980.00

total0.00

2.00

0.00

200.00

860.00

0.00

300.00

1,362.00

150.00 PARA LA GENTE DE BOLIVAR1,711.00

Page 922: cuadre daniela.xlsx

450.00

3,673.00

total0.00

0.00

5.00

30.00

60.00

300.00

3,300.00

3,695.00

0.005,631.00216.00

9,542.00

total2.00

0.00

0.00

200.00

880.00

3,050.00

1,400.00

5,532.00

0.003,390.00

40.00

8,962.00

total0.00

Page 923: cuadre daniela.xlsx

0.00

0.00

70.00

260.00

50.00

1,300.00

1,680.00

3,505.002,595.00

12.00

7,792.00

total0.00

0.00

0.00

10.00

400.00

400.00

500.00

1,310.00

0.00920.00100.00

2,330.00

total0.00

0.00

0.00

50.00

1,880.00

5,100.00

700.00

7,730.00

2,500.00

Page 924: cuadre daniela.xlsx

1,778.000.00

12,008.00

total1.00

8.00

0.00

0.00

360.00

450.00

300.00

1,119.00

15,020.001,459.00

0.00

17,598.00

total1.00

8.00

0.00

20.00

260.00

700.00

800.00

1,789.00

0.001,670.003,300.00

6,759.00

total

Page 925: cuadre daniela.xlsx

0.00

4.00

0.00

190.00

540.00

3,600.00

1,000.00

5,334.00

790.001,350.003,200.00

10,674.00

total5.00

6.00

45.00

330.00

340.00

3,550.00

5,600.00

9,876.00

100.0095.000.00

10,071.00 1ER CORTE8550

total0.00

50.00

40.00

50.00

100.00

200.00

100.00

540.00

575.00

Page 926: cuadre daniela.xlsx

2,752.000.00

3,867.00

total0.00

0.00

5.00

70.00

40.00

450.00

5,400.00

5,965.00

0.00670.00

5,680.00

12,315.00

total0.00

0.00

10.00

0.00

640.00

1,550.00

300.00

2,500.00

0.009,670.00210.00

12,380.00

total

Page 927: cuadre daniela.xlsx

0.00

6.00

5.00

20.00

420.00

1,200.00

300.00

1,951.00

0.001,645.00

50.00

3,646.00

total0.00

2.00

10.00

370.00

0.00

100.00

100.00

582.00

2,551.002,100.00140.00

5,373.00

total0.00

0.00

0.00

80.00

80.00

600.00

300.00

1,060.00

2,800.00

Page 928: cuadre daniela.xlsx

760.0030.00

4,650.00

total5.00

4.00

5.00

20.00

0.00

700.00

600.00

1,334.00

0.00880.0040.00

2,254.00

total3.00

0.00

0.00

0.00

180.00

1,100.00

1,600.00

2,883.00

0.0015,240.00

12.00

18,135.00

total

Page 929: cuadre daniela.xlsx

0.00

0.00

5.00

0.00

400.00

250.00

3,300.00

3,955.00

9,564.335,030.00

40.00

18,589.33

Page 930: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 3.00

2.00 0.00

5.00 8.00

10.00 0.00

20.00 0.00

50.00 5.00

100.00 34.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/2/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 2.00

5.00 0.00

10.00 8.00

20.00 1.00

50.00 17.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/3/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 0.00

50.00 7.00

100.00 3.00

EFECTIVO

Page 931: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/4/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 15.00

2.00 4.00

5.00 8.00

10.00 1.00

20.00 5.00

50.00 10.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS 1 CORTE

TOTAL ENTREGADO

6/5/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 10.00

2.00 0.00

5.00 8.00

10.00 9.00

20.00 0.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/7/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 932: cuadre daniela.xlsx

5.00 0.00

10.00 2.00

20.00 0.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/9/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 10.00

20.00 18.00

50.00 9.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/10/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 1.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 933: cuadre daniela.xlsx

6/11/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 53.00

20.00 3.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS- PELICULAS

TOTAL ENTREGADO

6/12/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 3.00

5.00 0.00

10.00 11.00

20.00 8.00

50.00 11.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS DORFRAN

TOTAL ENTREGADO

6/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 18.00

20.00 14.00

50.00 6.00

100.00 3.00

Page 934: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/15/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 1.00

10.00 12.00

20.00 56.00

50.00 11.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/16/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 13.00

20.00 17.00

50.00 0.00

100.00 26.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/18/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 935: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 35.00

20.00 39.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/19/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 0.00

5.00 0.00

10.00 15.00

20.00 12.00

50.00 13.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO BANESCO

TOTAL ENTREGADO

6/21/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 5.00

20.00 0.00

50.00 11.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 936: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 10.00

20.00 7.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS DORFRAN

TOTAL ENTREGADO

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 0.00

10.00 3.00

20.00 9.00

50.00 1.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 1.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 937: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 1.00

50.00 2.00

100.00 32.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 4.00

50.00 3.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 6.00

20.00 4.00

50.00 4.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 938: cuadre daniela.xlsx

TOTAL MES: 74,683,00

Page 939: cuadre daniela.xlsx

total3.00

0.00

40.00

0.00

0.00

250.00

3,400.00

3,693.00

1,125.00985.00

1,150.00

6,953.00

total2.00

4.00

0.00

80.00

20.00

850.00

200.00

1,156.00

0.00560.00

0.00

1,716.00

total0.00

0.00

5.00

20.00

0.00

350.00

300.00

675.00

Page 940: cuadre daniela.xlsx

0.00130.00

1,200.00

2,005.00

total15.00

8.00

40.00

10.00

100.00

500.00

100.00

773.00

330.001,515.00

11,900.00

14,518.00

total10.00

0.00

40.00

90.00

0.00

100.00

0.00

240.00

0.001,115.00

0.00

1,355.00

total0.00

0.00

Page 941: cuadre daniela.xlsx

0.00

20.00

0.00

50.00

0.00

70.00

5,115.02425.00

0.00

5,610.02

total0.00

0.00

0.00

100.00

360.00

450.00

100.00

1,010.00

0.00190.00

0.00

1,200.00

total5.00

0.00

0.00

80.00

20.00

400.00

0.00

505.00

0.00190.00

0.00

695.00

Page 942: cuadre daniela.xlsx

total0.00

0.00

0.00

530.00

60.00

0.00

0.00

590.00

0.001,050.00150.00

1,790.00

total5.00

6.00

0.00

110.00

160.00

550.00

600.00

1,431.00

0.00924.0035.00

2,390.00

total0.00

0.00

0.00

180.00

280.00

300.00

300.00

Page 943: cuadre daniela.xlsx

1,060.00

0.00765.00

0.00

1,825.00

total0.00

20.00

5.00

120.00

1,120.00

550.00

900.00

2,715.00

380.00525.00

0.00

3,620.00

total0.00

0.00

15.00

130.00

340.00

0.00

2,600.00

3,085.00

0.00885.00

0.00

3,970.00

total0.00

Page 944: cuadre daniela.xlsx

0.00

0.00

350.00

780.00

300.00

0.00

1,430.00

0.001,185.00

0.00

2,615.00

total5.00

0.00

0.00

150.00

240.00

650.00

1,000.00

2,045.00

0.006,980.001,385.00

10,410.00

total1.00

4.00

5.00

50.00

0.00

550.00

0.00

610.00

0.00265.00

0.00

875.00

Page 945: cuadre daniela.xlsx

total0.00

0.00

0.00

100.00

140.00

0.00

0.00

240.00

0.00615.00250.00

1,105.00

total0.00

10.00

0.00

30.00

180.00

50.00

800.00

1,070.00

0.00355.00

0.00

1,425.00

total0.00

0.00

0.00

80.00

20.00

100.00

100.00

300.00

0.0075.00

450.00

825.00

Page 946: cuadre daniela.xlsx

total0.00

0.00

0.00

20.00

20.00

100.00

3,200.00

3,340.00

0.001,515.00

0.00

4,855.00

total0.00

0.00

0.00

10.00

80.00

150.00

300.00

540.00

0.0070.000.00

610.00

total0.00

6.00

0.00

60.00

80.00

200.00

700.00

1,046.00

0.00270.00

0.00

1,316.00

Page 947: cuadre daniela.xlsx
Page 948: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 25.00

10.00 0.00

20.00 13.00

50.00 9.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/1/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 17.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/2/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 25.00

20.00 11.00

50.00 0.00

100.00 0.00

EFECTIVO

Page 949: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/3/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 7.00

20.00 6.00

50.00 8.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/6/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 20.00

50.00 21.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/7/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 950: cuadre daniela.xlsx

5.00 1.00

10.00 2.00

20.00 9.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE FACTURA 112178DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS

TOTAL ENTREGADO

7/8/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 19.00

10.00 13.00

20.00 5.00

50.00 6.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/12/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 40.00

20.00 8.00

50.00 3.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 951: cuadre daniela.xlsx

7/13/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 2.00

50.00 2.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 5.00

5.00 1.00

10.00 6.00

20.00 0.00

50.00 4.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/15/2010

TOTAL MES: 16,805,82

VACACIONES DESDE EL 16-07-2010 HASTA EL 04-08-2010

Page 952: cuadre daniela.xlsx

total1.00

2.00

125.00

0.00

260.00

450.00

100.00

938.00

0.00610.00

0.00

1,548.00

total0.00

0.00

0.00

0.00

20.00

850.00

800.00

1,670.00

0.00515.00

0.00

2,185.00

total0.00

0.00

5.00

250.00

220.00

0.00

0.00

475.00

Page 953: cuadre daniela.xlsx

0.00225.00150.00

850.00

total0.00

6.00

0.00

70.00

120.00

400.00

200.00

796.00

250.001,160.00

0.00

2,206.00

total0.00

0.00

5.00

10.00

400.00

1,050.00

1,600.00

3,065.00

0.001,025.00

0.00

4,090.00

total0.00

0.00

Page 954: cuadre daniela.xlsx

5.00

20.00

180.00

250.00

100.00

555.00

47.82270.00150.00

1,022.82

total1.00

2.00

95.00

130.00

100.00

300.00

500.00

1,128.00

0.001,190.00

0.00

2,318.00

total0.00

0.00

0.00

400.00

160.00

150.00

100.00

810.00

235.0035.000.00

1,080.00

Page 955: cuadre daniela.xlsx

total0.00

0.00

5.00

0.00

40.00

100.00

200.00

345.00

0.00464.00

0.00

809.00

total2.00

10.00

5.00

60.00

0.00

200.00

100.00

377.00

0.00320.00

0.00

697.00

Page 956: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 2.00

20.00 0.00

50.00 5.00

100.00 56.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA 0148

TOTAL ENTREGADO

8/5/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 7.00

50.00 13.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS

TOTAL ENTREGADO

8/6/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

Page 957: cuadre daniela.xlsx

20.00 4.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/7/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 23.00

50.00 7.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/9/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 48.00

20.00 97.00

50.00 48.00

100.00 45.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS NOLBYS Y AGUA

TOTAL ENTREGADO

Page 958: cuadre daniela.xlsx

8/10/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 3.00

50.00 8.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/11/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 138.00

20.00 21.00

50.00 87.00

100.00 24.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS IMP. MUNICIPAL

TOTAL ENTREGADO

8/12/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 3.00

5.00 0.00

Page 959: cuadre daniela.xlsx

10.00 1.00

20.00 1.00

50.00 5.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/13/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS QUINTILIO

TOTAL ENTREGADO

8/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 17.00

20.00 155.00

50.00 14.00

100.00 21.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

Page 960: cuadre daniela.xlsx

TOTAL ENTREGADO

8/16/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 12.00

50.00 7.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS NOLBYS

TOTAL ENTREGADO

8/17/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 11.00

20.00 43.00

50.00 185.00

100.00 54.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS Y LUZ

TOTAL ENTREGADO

8/18/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

Page 961: cuadre daniela.xlsx

5.00 1.00

10.00 1.00

20.00 0.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS AGUA

TOTAL ENTREGADO

8/19/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 689.00

20.00 381.00

50.00 8.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/20/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 48.00

50.00 3.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 962: cuadre daniela.xlsx

DEPOSITOS DORFRAN

TOTAL ENTREGADO

8/21/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 10.00

20.00 37.00

50.00 123.00

100.00 46.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOSNOLBYS+TRANSFERENCIA PROVINCIAL + DEVOLUCIO DE PORTATIL

TOTAL ENTREGADO

8/23/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 29.00

20.00 7.00

50.00 5.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/24/20101ER CORTE: 14,000 EFECTIVOTAXI MARITZA: 15,001ER CORTE: 8,300 CHEQUES LUIS PORTILLO: 20,00

TOTAL:22,300 FACTURA Nº 16568: 155,99FACTURA Nº 22803: 36,00

Page 963: cuadre daniela.xlsx

1ER CORTE: 14,000 EFECTIVO

TOTAL: 14,226.99

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 4.00

20.00 8.00

50.00 19.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/25/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 3.00

50.00 7.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/26/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 4.00

Page 964: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 1.00

50.00 16.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS

TOTAL ENTREGADO

8/27/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 11.00

50.00 15.00

100.00 22.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS DIRECTV+COMIDA

TOTAL ENTREGADO

8/28/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 450.00

20.00 1.00

50.00 121.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 965: cuadre daniela.xlsx

DEPOSITOS COMIDA FACTURA 02054

TOTAL ENTREGADO

8/30/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 24.00

20.00 21.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/31/2010

TOTAL MES: 272,244,00

Page 966: cuadre daniela.xlsx

total0.00

4.00

0.00

20.00

0.00

250.00

5,600.00

5,874.00

5,200.002,185.00300.00

13,559.00

total0.00

0.00

5.00

10.00

140.00

650.00

1,200.00

2,005.00

4,695.003,005.00

60.00

9,765.00

total0.00

0.00

0.00

20.00

Page 967: cuadre daniela.xlsx

80.00

100.00

0.00

200.00

0.00940.00

0.00

1,140.00

total0.00

0.00

0.00

50.00

460.00

350.00

500.00

1,360.00

14,400.00735.0050.00

16,545.00

total0.00

0.00

0.00

480.00

1,940.00

2,400.00

4,500.00

9,320.00

3,330.002,605.00

84.00

15,339.00

Page 968: cuadre daniela.xlsx

total0.00

0.00

0.00

10.00

60.00

400.00

300.00

770.00

0.00785.00

0.00

1,555.00

total0.00

0.00

0.00

1,380.00

420.00

4,350.00

2,400.00

8,550.00

3,450.004,300.00148.00

16,448.00

total1.00

6.00

0.00

Page 969: cuadre daniela.xlsx

10.00

20.00

250.00

600.00

887.00

0.003,449.002,390.00

6,726.00

total2.00

4.00

0.00

0.00

40.00

50.00

100.00

196.00

14,235.005,460.00400.00

20,291.00

total0.00

2.00

0.00

170.00

3,100.00

700.00

2,100.00

6,072.00

9,400.008,915.00

0.00

Page 970: cuadre daniela.xlsx

24,387.00

total0.00

0.00

0.00

50.00

240.00

350.00

500.00

1,140.00

2,480.003,880.00100.00

7,600.00

total1.00

4.00

0.00

110.00

860.00

9,250.00

5,400.00

15,625.00

0.005,910.00750.00

22,285.00

total0.00

2.00

Page 971: cuadre daniela.xlsx

5.00

10.00

0.00

100.00

100.00

217.00

0.002,030.00

12.00

2,259.00

total0.00

0.00

5.00

6,890.00 1ER CORTE 35007,620.00

400.00

400.00

15,315.00

125.006,570.00

0.00

22,010.00

total0.00

2.00

5.00

0.00

960.00

150.00

300.00

1,417.00

0.00745.00

Page 972: cuadre daniela.xlsx

200.00

2,362.00

total0.00

0.00

5.00

100.00

740.00

6,150.00

4,600.00

11,595.00

7,370.003,380.004,640.00

26,985.00

total0.00

2.00

5.00

290.00

140.00

250.00

300.00

987.00

8,300.002,315.00

14,226.99

25,828.99

Page 973: cuadre daniela.xlsx

total0.00

6.00

0.00

40.00

160.00

950.00

500.00

1,656.00

0.001,180.00

0.00

2,836.00

total0.00

0.00

5.00

0.00

60.00

350.00

1,200.00

1,615.00

350.00335.00200.00

2,500.00

total0.00

8.00

Page 974: cuadre daniela.xlsx

0.00

0.00

20.00

800.00

200.00

1,028.00

1,640.001,160.00

50.00

3,878.00

total0.00

0.00

0.00

40.00

220.00

750.00

2,200.00

3,210.00

1,740.00210.00240.00

5,400.00

total0.00

0.00

5.00

4,500.00

20.00

6,050.00

700.00

11,275.00

0.009,575.00

Page 975: cuadre daniela.xlsx

35.00

20,885.00

total0.00

0.00

5.00

240.00

420.00

400.00

0.00

1,065.00

0.00595.00

0.00

1,660.00

Page 976: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 166.00

20.00 16.00

50.00 8.00

100.00 61.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/1/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 22.00

50.00 9.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/2/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 8.00

Page 977: cuadre daniela.xlsx

50.00 49.00

100.00 68.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/3/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 10.00

50.00 13.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS AGUA

TOTAL ENTREGADO

9/4/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 33.00

20.00 54.00

50.00 52.00

100.00 19.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 978: cuadre daniela.xlsx

9/6/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 4.00

50.00 69.00

100.00 25.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS verarte-prestamo nolbys

TOTAL ENTREGADO

9/7/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

10.00 12.00

20.00 5.00

50.00 2.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/8/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 3.00

10.00 1.00

Page 979: cuadre daniela.xlsx

20.00 6.00

50.00 15.00

100.00 42.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/9/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 8.00

5.00 0.00

10.00 0.00

20.00 3.00

50.00 5.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/10/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 0.00

50.00 72.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 980: cuadre daniela.xlsx

9/11/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 1.00

10.00 5.00

20.00 8.00

50.00 8.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA Nº 005532

TOTAL ENTREGADO

9/13/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 9.00

5.00 4.00

10.00 4.00

20.00 10.00

50.00 16.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

Page 981: cuadre daniela.xlsx

10.00 17.00

20.00 2.00

50.00 60.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/15/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 7.00

5.00 4.00

10.00 24.00

20.00 18.00

50.00 17.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS AGUA

TOTAL ENTREGADO

9/16/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 1.00

10.00 2.00

20.00 7.00

50.00 6.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 982: cuadre daniela.xlsx

DEPOSITOS LIGIA MEDINA

TOTAL ENTREGADO

9/17/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 0.00

10.00 3.00

20.00 1.00

50.00 4.00

100.00 29.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/18/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 0.00

20.00 6.00

50.00 7.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA: 6129

TOTAL ENTREGADO

9/20/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

Page 983: cuadre daniela.xlsx

2.00 0.00

5.00 1.00

10.00 5.00

20.00 1.00

50.00 5.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/21/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 5.00

10.00 0.00

20.00 0.00

50.00 1.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS VIATICO+ FACTURAS

TOTAL ENTREGADO

9/22/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 13.00

50.00 2.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 984: cuadre daniela.xlsx

DEPOSITOS VIATICO-FACTURAS

TOTAL ENTREGADO

9/23/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 0.00

20.00 36.00

50.00 1.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/24/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 82.00

50.00 71.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS AGUA

TOTAL ENTREGADO

9/25/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 985: cuadre daniela.xlsx

2.00 14.00

5.00 5.00

10.00 87.00

20.00 4.00

50.00 8.00

100.00 22.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/27/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 3.00

50.00 6.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/28/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 0.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 986: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

9/29/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 186.00

20.00 108.00

50.00 65.00

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/30/2010

TOTAL MES: 175,896,51

Page 987: cuadre daniela.xlsx

total0.00

0.00

0.00

1,660.00

320.00

400.00

6,100.00

8,480.00

1,000.006,185.00

0.00

15,665.00

total0.00

2.00

5.00

0.00

440.00

450.00

1,300.00

2,197.00

0.003,120.00

0.00

5,317.00

total0.00

4.00

0.00

10.00

160.00

Page 988: cuadre daniela.xlsx

2,450.00

6,800.00

9,424.00

4,000.002,142.00

0.00

15,566.00

total0.00

0.00

5.00

0.00

200.00

650.00

700.00

1,555.00

4,000.007,150.00

12.00

12,717.00

total0.00

0.00

5.00

330.00

1,080.00

2,600.00

1,900.00

5,915.00

0.001,745.00

0.00

7,660.00

Page 989: cuadre daniela.xlsx

total2.00

0.00

0.00

40.00

80.00

3,450.00

2,500.00

6,072.00

2,960.008,239.002,000.00

19,271.00

total0.00

0.00

25.00

120.00

100.00

100.00

300.00

645.00

0.00660.000.00

1,305.00

total0.00

6.00

15.00

10.00

Page 990: cuadre daniela.xlsx

120.00

750.00

4,200.00

5,101.00

0.002,685.00

0.00

7,786.00

total0.00

16.00

0.00

0.00

60.00

250.00

0.00

326.00

300.00810.000.00

1,436.00

total0.00

0.00

5.00

0.00

0.00

3,600.00

0.00

3,605.00

5,225.003,830.00

0.00

12,660.00

Page 991: cuadre daniela.xlsx

total0.00

10.00

5.00

50.00

160.00

400.00

500.00

1,125.00

0.00120.00149.80

1,394.80

total2.00

18.00

20.00

40.00

200.00

800.00

1,000.00

2,080.00

0.0040.000.00

2,120.00

total0.00

0.00

25.00

Page 992: cuadre daniela.xlsx

170.00

40.00

3,000.00

800.00

4,035.00

0.001,085.00

0.00

5,120.00

total0.00

14.00

20.00

240.00

360.00

850.00

300.00

1,784.00

1,579.41900.0012.00

4,275.41

total1.00

2.00

5.00

20.00

140.00

300.00

200.00

668.00

0.001,615.00

Page 993: cuadre daniela.xlsx

227.00

2,510.00

total0.00

20.00

0.00

30.00

20.00

200.00

2,900.00

3,170.00

3,000.004,375.00

0.00

10,545.00

total0.00

2.00

5.00

0.00

120.00

350.00

100.00

577.00

0.001,610.00

18.01

2,205.01

total2.00

Page 994: cuadre daniela.xlsx

0.00

5.00

50.00

20.00

250.00

200.00

527.00

0.001,695.00

0.00

2,222.00

total0.00

2.00

25.00

0.00

0.00

50.00

100.00

177.00

3,290.708,819.00377.01

12,663.71

total1.00

0.00

0.00

30.00

260.00

100.00

200.00

591.00

0.00790.00

Page 995: cuadre daniela.xlsx

349.00

1,730.00

total1.00

4.00

5.00

0.00

720.00

50.00

1,600.00

2,380.00

0.000.000.00

2,380.00

total1.00

2.00

0.00

0.00

1,640.00

3,550.00

400.00

5,593.00

2,490.001,855.00

12.00

9,950.00

total0.00

Page 996: cuadre daniela.xlsx

28.00

25.00

870.00

80.00

400.00

2,200.00

3,603.00

4,555.001,000.00

0.00

9,158.00

total0.00

0.00

0.00

80.00

60.00

300.00

100.00

540.00

0.00385.000.00

925.00

total0.00

0.00

0.00

0.00

40.00

0.00

100.00

140.00

0.000.00

Page 997: cuadre daniela.xlsx

0.00

140.00

total0.00

0.00

0.00

1,860.00

2,160.00

3,250.00

1,500.00

8,770.00

0.00405.000.00

9,175.00

Page 998: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 5.00

20.00 34.00

50.00 107.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS+DORFRAN

TOTAL ENTREGADO

10/1/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 3.00

10.00 10.00

20.00 23.00

50.00 20.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS MERCANTIL

TOTAL ENTREGADO

10/2/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 14.00

Page 999: cuadre daniela.xlsx

20.00 19.00

50.00 11.00

100.00 60.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/4/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 0.00

5.00 4.00

10.00 17.00

20.00 27.00

50.00 19.00

100.00 32.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS PROVINCIAL

TOTAL ENTREGADO

10/5/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 391.00

20.00 1.00

50.00 2.00

100.00 23.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1000: cuadre daniela.xlsx

10/6/2010 1ER CORTE: 4000

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 7.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/8/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 12.00

20.00 8.00

50.00 242.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS AGUA+COMIDA

TOTAL ENTREGADO

10/9/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

Page 1001: cuadre daniela.xlsx

5.00 1.00

10.00 15.00

20.00 1.00

50.00 6.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/11/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 14.00

20.00 11.00

50.00 12.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS+COMIDA JORTIN

TOTAL ENTREGADO

10/12/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 0.00

10.00 89.00

20.00 15.00

50.00 50.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1002: cuadre daniela.xlsx

DEPOSITOS VIATICOS- COMIDA

TOTAL ENTREGADO

10/13/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO BANESCO

TOTAL ENTREGADO

10/14/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 3.00

50.00 21.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/15/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1003: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 2.00

20.00 37.00

50.00 27.00

100.00 38.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/16/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 45.00

50.00 119.00

100.00 56.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/18/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 41.00

20.00 20.00

50.00 109.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1004: cuadre daniela.xlsx

DEPOSITOS FACTURA: Nº00167241

TOTAL ENTREGADO

10/19/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 3.00

10.00 0.00

20.00 1.00

50.00 12.00

100.00 19.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA:00044447

TOTAL ENTREGADO

10/20/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 23.00

50.00 56.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/21/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 4.00

Page 1005: cuadre daniela.xlsx

2.00 1.00

5.00 4.00

10.00 2.00

20.00 11.00

50.00 40.00

100.00 23.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/22/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 5.00

100.00 38.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA: 24721

TOTAL ENTREGADO

10/23/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 15.00

5.00 0.00

10.00 29.00

20.00 123.00

50.00 137.00

100.00 23.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1006: cuadre daniela.xlsx

DEPOSITOS EDHER

TOTAL ENTREGADO

10/25/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 4.00

50.00 2.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO MERCANTIL

TOTAL ENTREGADO

10/26/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 34.00

20.00 5.00

50.00 54.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS COMIDA

TOTAL ENTREGADO

10/27/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 1007: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 40.00

20.00 55.00

50.00 36.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS viaticos

TOTAL ENTREGADO

10/28/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 64.00

20.00 14.00

50.00 51.00

100.00 17.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS

TOTAL ENTREGADO

10/29/2010

Page 1008: cuadre daniela.xlsx

total0.00

0.00

5.00

50.00

680.00

5,350.00

700.00

6,785.00

1,000.0010,080.00

260.00

18,125.00

total0.00

6.00

15.00

100.00

460.00

1,000.00

400.00

1,981.00

0.008,310.004,700.00

14,991.00

total1.00

2.00

0.00

140.00

Page 1009: cuadre daniela.xlsx

380.00

550.00

6,000.00

7,073.00

0.00600.00

0.00

7,673.00

total5.00

0.00

20.00

170.00

540.00

950.00

3,200.00

4,885.00

0.005,180.003,890.00

13,955.00

total0.00

0.00

5.00

3,910.00

20.00

100.00

2,300.00

6,335.00

4,500.003,340.00

0.00

14,175.00

Page 1010: cuadre daniela.xlsx

total0.00

0.00

0.00

0.00

0.00

350.00

200.00

550.00

8,465.004,360.00

0.00

13,375.00

total0.00

2.00

0.00

120.00

160.00

12,100.00

1,800.00

14,182.00

200.001,445.00250.00

16,077.00

total1.00

0.00

Page 1011: cuadre daniela.xlsx

5.00

150.00

20.00

300.00

300.00

776.00

9,790.002,880.00

0.00

13,446.00

total0.00

0.00

15.00

140.00

220.00

600.00

300.00

1,275.00

0.00330.00200.00

1,805.00

total1.00

2.00

0.00

890.00

300.00

2,500.00

500.00

4,193.00

3,717.71 1ER CORTE6,082.00

Page 1012: cuadre daniela.xlsx

105.00

14,097.71

total0.00

0.00

0.00

0.00

0.00

100.00

0.00

100.00

0.0012,770.00

985.00

13,855.00

total0.00

0.00

0.00

10.00

60.00

1,050.00

1,200.00

2,320.00

0.001,065.00

0.00

3,385.00

total0.00

Page 1013: cuadre daniela.xlsx

0.00

0.00

20.00

740.00

1,350.00

3,800.00

5,910.00

0.007,720.00

0.00

13,630.00

total1.00

0.00

0.00

10.00

900.00

5,950.00

5,600.00

12,461.00

0.006,885.00

0.00

19,346.00

total0.00

0.00

15.00

410.00

400.00

5,450.00

900.00

7,175.00

16,165.008,240.00

Page 1014: cuadre daniela.xlsx

31.00

31,611.00

total0.00

4.00

15.00

0.00

20.00

600.00

1,900.00

2,539.00

7,894.994,080.00135.98

14,649.97

total0.00

0.00

5.00

20.00

460.00

2,800.00

500.00

3,785.00

1,540.001,145.00

0.00

6,470.00

total4.00

Page 1015: cuadre daniela.xlsx

2.00

20.00

20.00

220.00

2,000.00

2,300.00

4,566.00

1,400.003,355.00

0.00

9,321.00

total0.00

0.00

0.00

0.00

0.00

250.00

3,800.00

4,050.00

0.003,741.00

48.00

7,839.00

total0.00

30.00

0.00

290.00

2,460.00

6,850.00

2,300.00

11,930.00

0.003,965.00

Page 1016: cuadre daniela.xlsx

200.00

16,095.00

total0.00

0.00

0.00

0.00

80.00

100.00

0.00

180.00

0.00140.00

5,300.00

5,620.00

total0.00

0.00

0.00

340.00

100.00

2,700.00

1,300.00

4,440.00

0.001,760.00

50.00

6,250.00

total

Page 1017: cuadre daniela.xlsx

0.00

0.00

0.00

400.00

1,100.00

1,800.00

1,600.00

4,900.00

8,082.865,764.00105.00

18,851.86

total0.00

0.00

10.00

640.00

280.00

2,550.00

1,700.00

5,180.00

15,080.003,655.00

50.00

23,965.00

Page 1018: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 6.00

10.00 14.00

20.00 35.00

50.00 110.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/1/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 113.00

20.00 28.00

50.00 118.00

100.00 54.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/2/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 7.00

5.00 4.00

10.00 126.00

20.00 154.00

Page 1019: cuadre daniela.xlsx

50.00 117.00

100.00 73.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS-NOLBYS

TOTAL ENTREGADO

11/3/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 7.00

50.00 3.00

100.00 29.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/4/2010

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 9.00

20.00 38.00

50.00 97.00

100.00 23.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1020: cuadre daniela.xlsx

11/6/2010

Page 1021: cuadre daniela.xlsx

total0.00

0.00

30.00

140.00

700.00

5,500.00

0.00

6,370.00

5,000.003,150.00

0.00

14,520.00

total0.00

0.00

0.00

1,130.00

560.00

5,900.00

5,400.00

12,990.00

6,068.573,120.00

0.00

22,178.57

total0.00

14.00

20.00

1,260.00

3,080.00

Page 1022: cuadre daniela.xlsx

5,850.00

7,300.00

17,524.00

1,900.004,925.00300.00

24,649.00

total0.00

0.00

0.00

10.00

140.00

150.00

2,900.00

3,200.00

1,485.00925.000.00

5,610.00

total0.00

0.00

5.00

90.00

760.00

4,850.00

2,300.00

8,005.00

0.0013,445.00

0.00

21,450.00

Page 1023: cuadre daniela.xlsx
Page 1024: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 95.00

20.00 3.00

50.00 38.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS factura nº28395

TOTAL ENTREGADO

4/2/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 2.00

10.00 1.00

20.00 127.00

50.00 100.00

100.00 102.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS gary

TOTAL ENTREGADO

4/4/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 3.00

20.00 88.00

50.00 22.00

100.00 46.00

EFECTIVO

Page 1025: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/5/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 502.00

20.00 302.00

50.00 165.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO100 de gauliz en mi cuadre

4/6/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 12.00

50.00 14.00

100.00 27.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS GARY+ FACTURA

TOTAL ENTREGADO

4/7/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1026: cuadre daniela.xlsx

2.00 2.00

5.00 2.00

10.00 15.00

20.00 5.00

50.00 62.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/8/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 7.00

10.00 12.00

20.00 51.00

50.00 9.00

100.00 77.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT. 28597

TOTAL ENTREGADO

4/9/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 4.00

2.00 0.00

5.00 0.00

10.00 14.00

20.00 0.00

50.00 14.00

100.00 22.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1027: cuadre daniela.xlsx

4/11/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

10.00 14.00

20.00 10.00

50.00 31.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/12/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 9.00

10.00 22.00

20.00 270.00

50.00 46.00

100.00 25.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS extra credito banesco

TOTAL ENTREGADO

4/13/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 18.00

50.00 19.00

Page 1028: cuadre daniela.xlsx

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/14/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 4.00

10.00 26.00

20.00 47.00

50.00 91.00

100.00 71.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/18/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS YETZANDER

TOTAL ENTREGADO

4/19/2011

Ventas 2: DORFRAN GONZALEZ

Page 1029: cuadre daniela.xlsx

billetes cantidad1.00 0.00

2.00 12.00

5.00 4.00

10.00 14.00

20.00 17.00

50.00 67.00

100.00 38.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/25/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 6.00

2.00 13.00

5.00 13.00

10.00 1.00

20.00 1.00

50.00 165.00

100.00 24.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/26/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 2.00

20.00 3.00

50.00 7.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1030: cuadre daniela.xlsx

DEPOSITOS 2 extra credito mercantil

TOTAL ENTREGADO

4/27/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 4.00

50.00 19.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/28/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 0.00

20.00 5.00

50.00 6.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

4/29/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

Page 1031: cuadre daniela.xlsx

10.00 3.00

20.00 6.00

50.00 74.00

100.00 24.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA NRO 29045

TOTAL ENTREGADO

4/30/2011

Page 1032: cuadre daniela.xlsx

total0.00

0.00

0.00

950.00

60.00

1,900.00

100.00

3,010.00

300.008,870.00

30.00

12,210.00

total0.00

10.00

10.00

10.00

2,540.00

5,000.00

10,200.00

17,770.00

0.003,785.00150.00

21,705.00

total0.00

0.00

10.00

30.00

1,760.00

1,100.00

4,600.00

7,500.00

Page 1033: cuadre daniela.xlsx

6,925.0011,070.00

0.00

25,495.00

total0.00

2.00

0.00

5,020.00

6,040.00

8,250.00

1,400.00

20,712.00

2,670.00195.000.00

23,577.00

total0.00

0.00

0.00

80.00

240.00

700.00

2,700.00

3,720.00

0.00785.00164.00

4,669.00

total0.00

Page 1034: cuadre daniela.xlsx

4.00

10.00

150.00

100.00

3,100.00

500.00

3,864.00

5,645.03355.000.00

9,864.03

total0.00

10.00

35.00

120.00

1,020.00

450.00

7,700.00

9,335.00

2,480.002,745.00

45.00

14,605.00

total4.00

0.00

0.00

140.00

0.00

700.00

2,200.00

3,044.00

0.00410.000.00

3,454.00

Page 1035: cuadre daniela.xlsx

total0.00

0.00

25.00

140.00

200.00

1,550.00

800.00

2,715.00

11,725.009,670.00

0.00

24,110.00

total0.00

0.00

45.00

220.00

5,400.00

2,300.00

2,500.00

10,465.00

2,480.00290.00

8,160.00

21,395.00

total0.00

0.00

5.00

0.00

360.00

950.00

Page 1036: cuadre daniela.xlsx

300.00

1,615.00

1,825.0011,565.00

0.00

15,005.00

total0.00

0.00

20.00

260.00

940.00

4,550.00

7,100.00

12,870.00

0.001,637.00

0.00

14,507.00

total0.00

0.00

0.00

0.00

40.00

50.00

0.00

90.00

0.007,831.00500.00

8,421.00

Page 1037: cuadre daniela.xlsx

total0.00

24.00

20.00

140.00

340.00

3,350.00

3,800.00

7,674.00

0.001,765.00

0.00

9,439.00

total6.00

26.00

65.00

10.00

20.00

8,250.00

2,400.00

10,777.00

0.001,760.00

0.00

12,537.00

total1.00

4.00

5.00

20.00

60.00

350.00

1,600.00

2,040.00

1,470.00400.00

Page 1038: cuadre daniela.xlsx

5,400.00

9,310.00

total0.00

0.00

0.00

10.00

80.00

950.00

900.00

1,940.00

372.462,640.00

0.00

4,952.46

total0.00

0.00

10.00

0.00

100.00

300.00

100.00

510.00

250.002,910.00

0.00

3,670.00

total0.00

0.00

10.00

Page 1039: cuadre daniela.xlsx

30.00

120.00

3,700.00

2,400.00

6,260.00

1,170.008,079.00

60.00

15,569.00

Page 1040: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 2.00

5.00 0.00

10.00 4.00

20.00 9.00

50.00 22.00

100.00 38.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS + FACTURA

TOTAL ENTREGADO

5/1/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 9.00

50.00 6.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/2/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 6.00

20.00 20.00

50.00 36.00

100.00 15.00

Page 1041: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/2/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 9.00

20.00 8.00

50.00 0.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS dorfran

TOTAL ENTREGADO

5/5/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 1.00

10.00 2.00

20.00 0.00

50.00 15.00

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/6/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 1042: cuadre daniela.xlsx

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 0.00

50.00 8.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO

TOTAL ENTREGADO

5/7/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 22.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/9/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 4.00

10.00 3.00

20.00 4.00

50.00 18.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

Page 1043: cuadre daniela.xlsx

TOTAL ENTREGADO

5/10/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 6.00

10.00 23.00

20.00 42.00

50.00 78.00

100.00 55.00

EFECTIVO

CHEQUE EUGENIODEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO MERCANTIL

TOTAL ENTREGADO

5/11/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 0.00

20.00 25.00

50.00 5.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRACREDITO MERCANTIL +TRANSFERENCIA

TOTAL ENTREGADO

5/12/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 0.00

5.00 1.00

Page 1044: cuadre daniela.xlsx

10.00 17.00

20.00 9.00

50.00 19.00

100.00 4.00

EFECTIVO

CHEQUE credi facilDEBITOS Y/O CREDITO

DEPOSITOS vasos+ agua

TOTAL ENTREGADO

5/14/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 5.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 103.00

50.00 1.00

100.00 39.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/16/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 3.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1045: cuadre daniela.xlsx

5/17/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 42.00

50.00 15.00

100.00 25.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/18/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 23.00

10.00 23.00

20.00 18.00

50.00 11.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS YETZANDER+ COMIDA EDUARDO

TOTAL ENTREGADO

5/19/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 25.00

10.00 71.00

20.00 25.00

50.00 27.00

100.00 3.00

Page 1046: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JORTIN+banco provicincial

TOTAL ENTREGADO

5/20/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 9.00

10.00 1.00

20.00 11.00

50.00 25.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/21/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 4.00

50.00 0.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/22/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 1047: cuadre daniela.xlsx

1.00 1.00

2.00 3.00

5.00 0.00

10.00 4.00

20.00 37.00

50.00 3.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS PRESTAMO+DEVOLUCION GAULIZ

TOTAL ENTREGADO

5/25/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 12.00

5.00 3.00

10.00 12.00

20.00 2.00

50.00 52.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/26/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 8.00

2.00 8.00

5.00 2.00

10.00 2.00

20.00 22.00

50.00 41.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

Page 1048: cuadre daniela.xlsx

TOTAL ENTREGADO

5/27/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 4.00

2.00 2.00

5.00 0.00

10.00 1.00

20.00 17.00

50.00 146.00

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS deposito+ facturas+facturas

TOTAL ENTREGADO

5/28/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 10.00

2.00 0.00

5.00 3.00

10.00 18.00

20.00 5.00

50.00 16.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

5/30/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 6.00

10.00 4.00

Page 1049: cuadre daniela.xlsx

20.00 2.00

50.00 14.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS CAJA CHICA

TOTAL ENTREGADO

5/31/2011

Page 1050: cuadre daniela.xlsx

total2.00

4.00

0.00

40.00

180.00

1,100.00

3,800.00

5,126.00

2,400.00230.00280.00

8,036.00

total0.00

0.00

5.00

10.00

180.00

300.00

1,300.00

1,795.00

459.73510.00

0.00

2,764.73

total0.00

0.00

0.00

60.00

400.00

1,800.00

1,500.00

Page 1051: cuadre daniela.xlsx

3,760.00

4,200.003,660.00

0.00

11,620.00

total0.00

0.00

0.00

90.00

160.00

0.00

200.00

450.00

0.001,775.00550.00

2,775.00

total0.00

10.00

5.00

20.00

0.00

750.00

1,500.00

2,285.00

17,865.370.000.00

20,150.37

total

Page 1052: cuadre daniela.xlsx

0.00

0.00

0.00

20.00

0.00

400.00

1,800.00

2,220.00

2,790.008,625.00

10,800.00

24,435.00

total0.00

0.00

0.00

10.00

20.00

1,100.00

300.00

1,430.00

2,800.00600.00

1,112.77

5,942.77

total0.00

4.00

20.00

30.00

80.00

900.00

1,800.00

2,834.00

2,530.005,339.006,300.00

Page 1053: cuadre daniela.xlsx

17,003.00

total0.00

4.00

30.00

230.00

840.00

3,900.00

5,500.00

10,504.00

200.000.00

4,900.00

15,604.00

total0.00

4.00

5.00

0.00

500.00

250.00

1,300.00

2,059.00

6,900.003,445.007,120.00

19,524.00

total5.00

0.00

5.00

Page 1054: cuadre daniela.xlsx

170.00

180.00

950.00

400.00

1,710.00

7,000.0012,605.00

172.00

21,487.00

total5.00

0.00

5.00

10.00

2,060.00

50.00

3,900.00

6,030.00

8,985.043,160.00

0.00

18,175.04

total0.00

4.00

0.00

0.00

20.00

150.00

400.00

574.00

0.00680.00150.00

1,404.00

Page 1055: cuadre daniela.xlsx

total0.00

0.00

0.00

70.00

840.00

750.00

2,500.00

4,160.00

209.00870.00620.00

5,859.00

total0.00

0.00

115.00

230.00

360.00

550.00

700.00

1,955.00

660.009,760.00220.00

12,595.00

total0.00

0.00

125.00

710.00

500.00

1,350.00

300.00

Page 1056: cuadre daniela.xlsx

2,985.00

10,253.381,375.00

10,555.02

25,168.40

total0.00

4.00

45.00

10.00

220.00

1,250.00

1,300.00

2,829.00

0.002,010.00

0.00

4,839.00

total0.00

0.00

0.00

30.00

80.00

0.00

300.00

410.00

740.003,410.00

0.00

4,560.00

total

Page 1057: cuadre daniela.xlsx

1.00

6.00

0.00

40.00

740.00

150.00

900.00

1,837.00

4,853.4011,336.00

685.00

18,711.40

total1.00

24.00

15.00

120.00

40.00

2,600.00

1,800.00

4,600.00

2,480.009,839.00

0.00

16,919.00

total8.00

16.00

10.00

20.00

440.00

2,050.00

400.00

2,944.00

7,400.004,435.00100.00

Page 1058: cuadre daniela.xlsx

14,879.00

total4.00

4.00

0.00

10.00

340.00

7,300.00

1,500.00

9,158.00

3,870.004,290.006,055.00

23,373.00

total10.00

0.00

15.00

180.00

100.00

800.00

0.00

1,105.00

0.001,215.001,500.00

3,820.00

total0.00

2.00

30.00

40.00

Page 1059: cuadre daniela.xlsx

40.00

700.00

0.00

812.00

0.001,480.00

50.00

2,342.00

Page 1060: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 2.00

10.00 1.00

20.00 1.00

50.00 15.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/1/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 60.00

20.00 20.00

50.00 5.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/4/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 11.00

50.00 13.00

100.00 5.00

Page 1061: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/6/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 23.00

20.00 9.00

50.00 5.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/7/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 4.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/8/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

Page 1062: cuadre daniela.xlsx

1.00 1.00

2.00 19.00

5.00 0.00

10.00 2.00

20.00 46.00

50.00 31.00

100.00 28.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/9/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00

20.00 0.00

50.00

100.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRACREDITO MERCANTIL+DORFRAN

TOTAL ENTREGADO

6/10/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 99.00

5.00 0.00

10.00 4.00

20.00 1.00

50.00 32.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:3423+……

Page 1063: cuadre daniela.xlsx

TOTAL ENTREGADO

6/11/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 100.00

5.00 1.00

10.00 6.00

20.00 2.00

50.00 118.00

100.00 17.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS DORFRAN

TOTAL ENTREGADO

6/13/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 22.00

5.00 0.00

10.00 2.00

20.00 46.00

50.00 125.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/14/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 75.00

5.00 4.00

10.00 10.00

Page 1064: cuadre daniela.xlsx

20.00 9.00

50.00 6.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/15/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 25.00

5.00 50.00

10.00 5.00

20.00 2.00

50.00 0.00

100.00 84.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/16/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 40.00

5.00 8.00

10.00 241.00

20.00 41.00

50.00 39.00

100.00 30.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1ER CORTE 6/17/2011

Page 1065: cuadre daniela.xlsx

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 12.00

5.00 18.00

10.00 1.00

20.00 0.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACTURA AGUA

TOTAL ENTREGADO

6/18/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 11.00

10.00 2.00

20.00 26.00

50.00 33.00

100.00 39.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRACREDITO MERCANTIL

TOTAL ENTREGADO

6/20/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 4.00

10.00 9.00

20.00 10.00

50.00 26.00

100.00 4.00

EFECTIVO

Page 1066: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/21/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 37.00

50.00 4.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/22/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 4.00

2.00 5.00

5.00 2.00

10.00 7.00

20.00 0.00

50.00 0.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/23/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1067: cuadre daniela.xlsx

2.00 0.00

5.00 1.00

10.00 16.00

20.00 10.00

50.00 6.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/24/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 12.00

5.00 26.00

10.00 4.00

20.00 15.00

50.00 9.00

100.00 24.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/25/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 4.00

5.00 5.00

10.00 2.00

20.00 1.00

50.00 90.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1068: cuadre daniela.xlsx

6/27/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 5.00

50.00 10.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/28/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 9.00

10.00 1.00

20.00 2.00

50.00 7.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS credi facil mercantil

TOTAL ENTREGADO

6/29/2011

Ventas 2: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 2.00

50.00 37.00

Page 1069: cuadre daniela.xlsx

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

6/30/2011

Page 1070: cuadre daniela.xlsx

total0.00

2.00

10.00

10.00

20.00

750.00

500.00

1,292.00

0.000.000.00

1,292.00

total0.00

0.00

5.00

600.00

400.00

250.00

500.00

1,755.00

0.00485.00

0.00

2,240.00

total1.00

0.00

0.00

10.00

220.00

650.00

500.00

Page 1071: cuadre daniela.xlsx

1,381.00

312.682,450.00

0.00

4,143.68

total0.00

2.00

0.00

230.00

180.00

250.00

600.00

1,262.00

0.002,050.00

0.00

3,312.00

total0.00

0.00

0.00

70.00

80.00

200.00

0.00

350.00

0.008,061.00

0.00

8,411.00

total

Page 1072: cuadre daniela.xlsx

1.00

38.00

0.00

20.00

920.00

1,550.00

2,800.00

5,329.00

7,336.881,250.00

0.00

13,915.88

total1.00

0.00

0.00

0.00

0.00

0.00

0.00

1.00

5,650.0016,786.002,990.00

25,427.00

total0.00

198.00

0.00

40.00

20.00

1,600.00

0.00

1,858.00

5,800.007,565.00472.00

Page 1073: cuadre daniela.xlsx

15,695.00

total0.00

200.00

5.00

60.00

40.00

5,900.00

1,700.00

7,905.00

2,225.000.00

300.00

10,430.00

total1.00

44.00

0.00

20.00

920.00

6,250.00

1,000.00

8,235.00

7,482.642,335.00320.00

18,372.64

total0.00

150.00

20.00

100.00

Page 1074: cuadre daniela.xlsx

180.00

300.00

100.00

850.00

6,875.001,130.00

0.00

8,855.00

total0.00

50.00

250.00

50.00

40.00

0.00

8,400.00

8,790.00

500.003,490.00

0.00

12,780.00

total1.00

80.00

40.00

2,410.00

820.00

1,950.00

3,000.00

8,301.00

0.0010,850.00

800.00

19,951.00

Page 1075: cuadre daniela.xlsx

total0.00

24.00

90.00

10.00

0.00

400.00

0.00

524.00

0.003,840.00

72.00

4,436.00

total0.00

20.00

55.00

20.00

520.00

1,650.00

3,900.00

6,165.00

0.002,107.002,689.99

10,961.99

total0.00

0.00

20.00

90.00

200.00

1,300.00

400.00

2,010.00

Page 1076: cuadre daniela.xlsx

0.001,115.00300.00

3,425.00

total0.00

0.00

5.00

30.00

740.00

200.00

1,300.00

2,275.00

4,000.001,835.00

0.00

8,110.00

total4.00

10.00

10.00

70.00

0.00

0.00

200.00

294.00

0.007,255.00

0.00

7,549.00

total0.00

Page 1077: cuadre daniela.xlsx

0.00

5.00

160.00

200.00

300.00

200.00

865.00

0.001,010.00

0.00

1,875.00

total2.00

24.00

130.00

40.00

300.00

450.00

2,400.00

3,346.00

2,230.00375.00

0.00

5,951.00

total0.00

8.00

25.00

20.00

20.00

4,500.00

600.00

5,173.00

0.001,080.00

0.00

6,253.00

Page 1078: cuadre daniela.xlsx

total0.00

0.00

0.00

10.00

100.00

500.00

600.00

1,210.00

235.002,410.00

0.00

3,855.00

total0.00

10.00

45.00

10.00

40.00

350.00

1,000.00

1,455.00

5,510.00515.00

5,000.00

12,480.00

total0.00

0.00

0.00

30.00

40.00

1,850.00

Page 1079: cuadre daniela.xlsx

1,100.00

3,020.00

5,650.003,170.001,559.98

13,399.98

Page 1080: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 4.00

10.00 51.00

20.00 3.00

50.00 7.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 16.00

20.00 12.00

50.00 5.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/2/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 3.00

10.00 16.00

20.00 68.00

50.00 138.00

100.00 26.00

EFECTIVO

Page 1081: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:036998-008112-00027607

TOTAL ENTREGADO

7/4/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 21.00

10.00 37.00

20.00 44.00

50.00 57.00

100.00 17.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/7/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 6.00

20.00 7.00

50.00 11.00

100.00 74.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/8/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1082: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 33.00

20.00 0.00

50.00 15.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS YETZANDER+ AGUA

TOTAL ENTREGADO

7/9/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 6.00

5.00 0.00

10.00 1.00

20.00 13.00

50.00 76.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/11/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 6.00

5.00 15.00

10.00 8.00

20.00 9.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS nolbys + transferencia + prest dorfran

TOTAL ENTREGADO

Page 1083: cuadre daniela.xlsx

7/12/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 40.00

20.00 25.00

50.00 17.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/13/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 13.00

10.00 6.00

20.00 9.00

50.00 24.00

100.00 42.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS

TOTAL ENTREGADO

7/14/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

10.00 10.00

20.00 0.00

50.00 2.00

Page 1084: cuadre daniela.xlsx

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS nolbys

TOTAL ENTREGADO

7/15/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 69.00

20.00 24.00

50.00 66.00

100.00 58.00

EFECTIVO

CHEQUE FALTA CHEQUE DEPOSITADO 16-07DEBITOS Y/O CREDITO

DEPOSITOS FACT:4469 + LUIS CARTUCHOS

TOTAL ENTREGADO

7/16/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 23.00

20.00 10.00

50.00 30.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS jortin

TOTAL ENTREGADO

7/18/2011

Ventas 3: DORFRAN GONZALEZ

Page 1085: cuadre daniela.xlsx

billetes cantidad1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 36.00

50.00 26.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 2.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS 74,871,910.00

TOTAL ENTREGADO

7/20/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 94.00

10.00 10.00

20.00 44.00

50.00 74.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1086: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

7/21/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 15.00

5.00 16.00

10.00 5.00

20.00 2.00

50.00 16.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/22/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 1.00

5.00 3.00

10.00 47.00

20.00 23.00

50.00 127.00

100.00 22.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/23/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1087: cuadre daniela.xlsx

2.00 0.00

5.00 32.00

10.00 0.00

20.00 2.00

50.00 41.00

100.00 64.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/25/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 23.00

50.00 5.00

100.00 81.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/27/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

10.00 11.00

20.00 90.00

50.00 94.00

100.00 46.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO BANESCO+NOLBYS

TOTAL ENTREGADO

Page 1088: cuadre daniela.xlsx

7/28/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 20.00

10.00 7.00

20.00 11.00

50.00 11.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

7/29/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 34.00

10.00 47.00

20.00 38.00

50.00 101.00

100.00 50.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:008462-FACT:4934

TOTAL ENTREGADO

7/30/2011

Page 1089: cuadre daniela.xlsx

total0.00

0.00

20.00

510.00

60.00

350.00

300.00

1,240.00

8,873.044,390.00

0.00

14,503.04

total0.00

0.00

10.00

160.00

240.00

250.00

100.00

760.00

0.00595.00

0.00

1,355.00

total0.00

4.00

15.00 ,160.00

1,360.00

6,900.00

2,600.00

11,039.00

Page 1090: cuadre daniela.xlsx

0.003,800.00318.00

15,157.00

total0.00

0.00

105.00

370.00

880.00

2,850.00

1,700.00

5,905.00

0.001,645.00

0.00

7,550.00

total0.00

4.00

5.00

60.00

140.00

550.00

7,400.00

8,159.00

4,646.652,190.00

0.00

14,995.65

total0.00

Page 1091: cuadre daniela.xlsx

0.00

0.00

330.00

0.00

750.00

0.00

1,080.00

395.00820.00536.00

2,831.00

total0.00

12.00

0.00

10.00

260.00

3,800.00

1,800.00

5,882.00

0.003,380.00

0.00

9,262.00

total0.00

12.00

75.00

80.00

180.00

400.00

0.00

747.00

5,295.0010,100.006,500.00

22,642.00

Page 1092: cuadre daniela.xlsx

total0.00

0.00

0.00

400.00

500.00

850.00

700.00

2,450.00

3,000.002,475.00

0.00

7,925.00

total0.00

0.00

65.00

60.00

180.00

1,200.00

4,200.00

5,705.00

400.00380.00100.00

6,585.00

total0.00

0.00

25.00

100.00

0.00

100.00

Page 1093: cuadre daniela.xlsx

700.00

925.00

0.00325.00100.00

1,350.00

total0.00

0.00

0.00

690.00

480.00

3,300.00

5,800.00

10,270.00

1,250.008,055.00808.00

20,383.00

total0.00

0.00

0.00

230.00

200.00

1,500.00

1,000.00

2,930.00

0.001,385.00400.00

4,715.00

Page 1094: cuadre daniela.xlsx

total0.00

0.00

0.00

0.00

720.00

1,300.00

900.00

2,920.00

7,885.002,115.00

12,920.00

total0.00

0.00

0.00

20.00

40.00

0.00

0.00

60.00

1,810.001,385.00750.00

4,005.00

total0.00

0.00

470.00

100.00

880.00

3,700.00

1,400.00

6,550.00

0.006,470.00

Page 1095: cuadre daniela.xlsx

0.00

13,020.00

total0.00

30.00

80.00

50.00

40.00

800.00

300.00

1,300.00

300.005,950.00

0.00

7,550.00

total1.00

2.00

15.00

470.00

460.00

6,350.00

2,200.00

9,498.00

3,150.004,255.00

0.00

16,903.00

total0.00

Page 1096: cuadre daniela.xlsx

0.00

160.00

0.00

40.00

2,050.00

6,400.00

8,650.00

0.002,230.00

0.00

10,880.00

total0.00

0.00

5.00

0.00

460.00

250.00

8,100.00

8,815.00

0.006,255.00

0.00

15,070.00

total0.00

0.00

15.00

110.00

1,800.00

4,700.00

4,600.00

11,225.00

3,250.008,135.001,540.00

24,150.00

Page 1097: cuadre daniela.xlsx

total0.00

0.00

100.00

70.00

220.00

550.00

0.00

940.00

100.001,270.00

0.00

2,310.00

total0.00

10.00

170.00

470.00

760.00

5,050.00

5,000.00

11,460.00

800.004,750.00331.00

17,341.00

Page 1098: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 6.00

5.00 24.00

10.00 5.00

20.00 35.00

50.00 63.00

100.00 78.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS SENCILLO+VIATICOS

TOTAL ENTREGADO

8/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 1.00

50.00 1.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS SENCILLO

TOTAL ENTREGADO

8/2/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 14.00

20.00 5.00

50.00 39.00

100.00 22.00

EFECTIVO

Page 1099: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/3/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 48.00

100.00 42.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS SENCILLO+ NOLBYS+FACT;62873

TOTAL ENTREGADO

8/4/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 1.00

20.00 49.00

50.00 49.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS SENCILLO

TOTAL ENTREGADO

8/5/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1100: cuadre daniela.xlsx

2.00 4.00

5.00 21.00

10.00 50.00

20.00 19.00

50.00 50.00

100.00 36.00

EFECTIVO

CHEQUE CREDI FACILDEBITOS Y/O CREDITO

DEPOSITOS SENCILLO+FACT:5196--8320

TOTAL ENTREGADO

8/6/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 10.00

10.00 17.00

20.00 9.00

50.00 12.00

100.00 39.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 62987 + CREDI FACIL

TOTAL ENTREGADO

8/8/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 10.00

20.00 7.00

50.00 13.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS 2 EXTRA CREDITO BANESCO

TOTAL ENTREGADO

Page 1101: cuadre daniela.xlsx

8/9/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 8.00

5.00 3.00

10.00 2.00

20.00 14.00

50.00 9.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS CREDI FACIL

TOTAL ENTREGADO

8/10/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 1.00

50.00 7.00

100.00 47.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/11/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 0.00

20.00 0.00

50.00 9.00

Page 1102: cuadre daniela.xlsx

100.00 15.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/12/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 5.00

10.00 43.00

20.00 0.00

50.00 96.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 5416+ MARITZA

TOTAL ENTREGADO

8/13/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 3.00

50.00 6.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS LIQUIDACION JENIFER

TOTAL ENTREGADO

8/15/2011

Ventas 3: DORFRAN GONZALEZ

Page 1103: cuadre daniela.xlsx

billetes cantidad1.00 0.00

2.00 2.00

5.00 1.00

10.00 7.00

20.00 4.00

50.00 11.00

100.00 177.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 124030

TOTAL ENTREGADO1ER CORTE: 17,000.00

8/16/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 3.00

10.00 2.00

20.00 3.00

50.00 2.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/17/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 3.00

10.00 26.00

20.00 17.00

50.00 46.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1104: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

8/18/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 37.00

100.00 48.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 0.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/20/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 1105: cuadre daniela.xlsx

5.00 2.00

10.00 1.00

20.00 4.00

50.00 5.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/22/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 2.00

10.00 3.00

20.00 2.00

50.00 1.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/23/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 1.00

20.00 0.00

50.00 2.00

100.00 84.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1106: cuadre daniela.xlsx

8/24/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 6.00

20.00 225.00

50.00 14.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/25/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 53.00

50.00 3.00

100.00 28.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/26/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 1.00

10.00 13.00

20.00 28.00

50.00 24.00

100.00 26.00

Page 1107: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/29/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 7.00

20.00 8.00

50.00 4.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/30/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 12.00

10.00 4.00

20.00 4.00

50.00 1.00

100.00 44.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

8/31/2011

Page 1108: cuadre daniela.xlsx

total1.00

12.00

120.00

50.00

700.00

3,150.00

7,800.00

11,833.00

4,462.8310,030.00

120.00

26,445.83

total0.00

0.00

5.00

10.00

20.00

50.00

300.00

385.00

5,685.008,620.00100.00

14,790.00

total0.00

4.00

5.00

140.00

100.00

1,950.00

2,200.00

4,399.00

Page 1109: cuadre daniela.xlsx

795.003,725.00

0.00

8,919.00

total0.00

0.00

0.00

0.00

0.00

2,400.00

4,200.00

6,600.00

10,946.302,285.00411.00

20,242.30

total0.00

2.00

0.00

10.00

980.00

2,450.00

500.00

3,942.00

880.0010,300.00

50.00

15,172.00

total0.00

Page 1110: cuadre daniela.xlsx

8.00

105.00

500.00

380.00

2,500.00

3,600.00

7,093.00

2,365.009,324.00394.00

19,176.00

total0.00

0.00

50.00

170.00

180.00

600.00

3,900.00

4,900.00

3,460.005,735.004,970.00

19,065.00

total0.00

0.00

5.00

100.00

140.00

650.00

1,800.00

2,695.00

645.00235.00

5,770.00

9,345.00

Page 1111: cuadre daniela.xlsx

total2.00

16.00

15.00

20.00

280.00

450.00

500.00

1,283.00

4,500.003,970.002,365.00

12,118.00

total0.00

0.00

0.00

10.00

20.00

350.00

4,700.00

5,080.00

1,266.7012,200.00

0.00

18,546.70

total0.00

0.00

10.00

0.00

0.00

450.00

Page 1112: cuadre daniela.xlsx

1,500.00

1,960.00

4,252.72290.00

0.00

6,502.72

total0.00

10.00

25.00

430.00

0.00

4,800.00

0.00

5,265.00

0.006,620.00372.00

12,257.00

total0.00

0.00

5.00

20.00

60.00

300.00

0.00

385.00

4,100.003,521.003,200.00

11,206.00

Page 1113: cuadre daniela.xlsx

total0.00

4.00

5.00

70.00

80.00

550.00

17,700.00

18,409.00

2,989.002,790.00

60.00

24,248.00

total0.00

4.00

15.00

20.00

60.00

100.00

800.00

999.00

0.00750.00

0.00

1,749.00

total0.00

2.00

15.00

260.00

340.00

2,300.00

1,600.00

4,517.00

1,650.002,845.00

Page 1114: cuadre daniela.xlsx

400.00

9,412.00

total1.00

0.00

0.00

0.00

20.00

1,850.00

4,800.00

6,671.00

4,870.00345.00

0.00

11,886.00

total0.00

0.00

0.00

50.00

0.00

0.00

0.00

50.00

0.00910.00

0.00

960.00

total0.00

0.00

Page 1115: cuadre daniela.xlsx

10.00

10.00

80.00

250.00

400.00

750.00

1,400.007,725.00

0.00

9,875.00

total0.00

6.00

10.00

30.00

40.00

50.00

700.00

836.00

2,575.004,830.00

0.00

8,241.00

total0.00

2.00

5.00

10.00

0.00

100.00

8,400.00

8,517.00

0.001,590.00

0.00

10,107.00

Page 1116: cuadre daniela.xlsx

total0.00

0.00

0.00

60.00

4,500.00

700.00

800.00

6,060.00

0.002,960.00

0.00

9,020.00

total0.00

0.00

0.00

20.00

1,060.00

150.00

2,800.00

4,030.00

5,545.00200.00

0.00

9,775.00

total0.00

6.00

5.00

130.00

560.00

1,200.00

2,600.00

Page 1117: cuadre daniela.xlsx

4,501.00

3,280.005,490.00

0.00

13,271.00

total0.00

0.00

5.00

70.00

160.00

200.00

0.00

435.00

8,775.00650.00

0.00

9,860.00

total0.00

10.00

60.00

40.00

80.00

50.00

4,400.00

4,640.00

0.001,105.00500.00

6,245.00

Page 1118: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 1.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 9.00

20.00 8.00

50.00 28.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS

TOTAL ENTREGADO

9/2/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 40.00

50.00 66.00

100.00 33.00

EFECTIVO

Page 1119: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/4/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 39.00

50.00 3.00

100.00 33.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/5/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 19.00

50.00 11.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/6/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1120: cuadre daniela.xlsx

2.00 0.00

5.00 0.00

10.00 25.00

20.00 116.00

50.00 31.00

100.00 85.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/7/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 9.00

10.00 12.00

20.00 10.00

50.00 5.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO

TOTAL ENTREGADO

9/8/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 4.00

10.00 4.00

20.00 45.00

50.00 38.00

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1121: cuadre daniela.xlsx

9/9/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 5.00

5.00 6.00

10.00 5.00

20.00 11.00

50.00 25.00

100.00 35.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 1124

TOTAL ENTREGADO

9/10/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 3.00

5.00 4.00

10.00 17.00

20.00 20.00

50.00 51.00

100.00 28.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS + MARITZA

TOTAL ENTREGADO

9/12/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 13.00

20.00 7.00

50.00 12.00

Page 1122: cuadre daniela.xlsx

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/13/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 2.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/14/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 90.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/15/2011

Ventas 3: DORFRAN GONZALEZ

Page 1123: cuadre daniela.xlsx

billetes cantidad1.00 1.00

2.00 2.00

5.00 0.00

10.00 0.00

20.00 1.00

50.00 15.00

100.00 19.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS

TOTAL ENTREGADO

9/16/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 2.00

10.00 13.00

20.00 27.00

50.00 183.00

100.00 50.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS viaticos + transporte+fact:94520+6405

TOTAL ENTREGADO

9/17/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 82.00

20.00 41.00

50.00 47.00

100.00 25.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1124: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

9/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 10.00

20.00 5.00

50.00 90.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/20/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 12.00

10.00 0.00

20.00 57.00

50.00 97.00

100.00 110.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS PAGO A EMISORA

TOTAL ENTREGADO

9/21/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 3.00

Page 1125: cuadre daniela.xlsx

10.00 0.00

20.00 47.00

50.00 102.00

100.00 24.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/22/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 7.00

20.00 1.00

50.00 21.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/23/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 32.00

20.00 40.00

50.00 59.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 6655

TOTAL ENTREGADO

Page 1126: cuadre daniela.xlsx

9/24/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 8.00

20.00 5.00

50.00 11.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

9/26/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 14.00

10.00 4.00

20.00 17.00

50.00 20.00

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS EXTRA CREDITO BANESCO

TOTAL ENTREGADO

9/27/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 4.00

Page 1127: cuadre daniela.xlsx

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS nolbys

TOTAL ENTREGADO

9/28/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 4.00

5.00 2.00

10.00 10.00

20.00 46.00

50.00 38.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS TORTA

TOTAL ENTREGADO

9/29/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 0.00

20.00 0.00

50.00 1.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS credi facil

TOTAL ENTREGADO

9/30/2011

Page 1128: cuadre daniela.xlsx

total0.00

2.00

0.00

0.00

20.00

50.00

200.00

272.00

3,660.00530.00

0.00

4,462.00

total1.00

4.00

0.00

90.00

160.00

1,400.00

1,000.00

2,655.00

1,300.003,885.00100.00

7,940.00

total0.00

0.00

5.00

10.00

800.00

3,300.00

3,300.00

7,415.00

Page 1129: cuadre daniela.xlsx

5,630.002,735.00

0.00

15,780.00

total0.00

0.00

0.00

20.00

780.00

150.00

3,300.00

4,250.00

0.002,845.00

0.00

7,095.00

total0.00

0.00

5.00

0.00

380.00

550.00

700.00

1,635.00

0.006,665.00

0.00

8,300.00

total0.00

Page 1130: cuadre daniela.xlsx

0.00

0.00

250.00

2,320.00

1,550.00

8,500.00

12,620.00

0.003,220.00

0.00

15,840.00

total1.00

0.00

45.00

120.00

200.00

250.00

400.00

1,016.00

3,625.0011,160.001,300.00

17,101.00

total0.00

10.00

20.00

40.00

900.00

1,900.00

1,100.00

3,970.00

5,300.00875.00

0.00

10,145.00

Page 1131: cuadre daniela.xlsx

total1.00

10.00

30.00

50.00

220.00

1,250.00

3,500.00

5,061.00

0.0022,164.00

0.00

27,225.00

total1.00

6.00

20.00

170.00

400.00

2,550.00

2,800.00

5,947.00

200.003,270.00800.00

10,217.00

total0.00

0.00

0.00

130.00

140.00

600.00

Page 1132: cuadre daniela.xlsx

1,000.00

1,870.00

6,934.379,500.00

0.00

18,304.37

total0.00

2.00

0.00

0.00

40.00

100.00

800.00

942.00

19,755.352,975.00

0.00

23,672.35

total0.00

4.00

0.00

0.00

0.00

4,500.00

0.00

4,504.00

440.00100.00

0.00

5,044.00

Page 1133: cuadre daniela.xlsx

total1.00

4.00

0.00

0.00

20.00

750.00

1,900.00

2,675.00

6,750.008,410.00200+100

17,835.00

total0.00

20.00

10.00

130.00

540.00

9,150.00

5,000.00

14,850.00

0.004,545.00929.00

20,324.00

total0.00

0.00

10.00

820.00

820.00

2,350.00

2,500.00

6,500.00

0.001,215.00

Page 1134: cuadre daniela.xlsx

0.00

7,715.00

total0.00

2.00

0.00

100.00

100.00

4,500.00

300.00

5,002.00

3,680.00670.00

0.00

9,352.00

total0.00

0.00

60.00

0.00

1,140.00

4,850.00

11,000.00

17,050.00

1,000.003,540.003,090.00

24,680.00

total0.00

0.00

15.00

Page 1135: cuadre daniela.xlsx

0.00

940.00

5,100.00

2,400.00

8,455.00

4,089.0014,715.00

0.00

27,259.00

total0.00

0.00

0.00

70.00

20.00

1,050.00

500.00

1,640.00

13,553.655,735.00

0.00

20,928.65

total0.00

0.00

10.00

320.00

800.00

2,950.00

100.00

4,180.00

0.006,640.00

54.00

10,874.00

Page 1136: cuadre daniela.xlsx

total0.00

0.00

10.00

80.00

100.00

550.00

0.00

740.00

10,325.007,520.00

0.00

18,585.00

total0.00

0.00

70.00

40.00

340.00

1,000.00

1,100.00

2,550.00

0.001,610.004,240.00

8,400.00

total0.00

0.00

0.00

0.00

0.00

200.00

Page 1137: cuadre daniela.xlsx

200.00

400.00

3,450.004,545.00200.00

8,595.00

total0.00

8.00

10.00

100.00

920.00

1,900.00

300.00

3,238.00

0.005,060.00150.00

8,448.00

total0.00

0.00

10.00

0.00

0.00

50.00

200.00

260.00

200.00270.00

5,405.00

6,135.00

Page 1138: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 11.00

20.00 19.00

50.00 65.00

100.00 38.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 2.00

20.00 10.00

50.00 7.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/3/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 13.00

5.00 0.00

Page 1139: cuadre daniela.xlsx

10.00 9.00

20.00 11.00

50.00 20.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS extra credito banesco+venta

TOTAL ENTREGADO

10/4/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 0.00

10.00 5.00

20.00 12.00

50.00 55.00

100.00 20.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/5/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 1.00

10.00 1.00

20.00 6.00

50.00 16.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1140: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

10/6/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 20.00

2.00 5.00

5.00 7.00

10.00 3.00

20.00 0.00

50.00 3.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/7/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 0.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/8/2011

Ventas 3: DORFRAN GONZALEZ

Page 1141: cuadre daniela.xlsx

billetes cantidad1.00 20.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 1.00

50.00 0.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/10/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 4.00

50.00 2.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/11/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 4.00

50.00 31.00

100.00 31.00

Page 1142: cuadre daniela.xlsx

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/13/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 9.00

20.00 1.00

50.00 25.00

100.00 59.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/14/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 30.00

20.00 6.00

50.00 2.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO805 1ER CORTE

10/15/2011

Page 1143: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 13.00

50.00 7.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/17/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 2.00

10.00 33.00

20.00 0.00

50.00 5.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/18/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

Page 1144: cuadre daniela.xlsx

20.00 0.00

50.00 1.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 3.00

2.00 16.00

5.00 7.00

10.00 11.00

20.00 4.00

50.00 21.00

100.00 44.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/20/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 16.00

100.00 14.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

Page 1145: cuadre daniela.xlsx

10/21/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 4.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/22/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 8.00

10.00 0.00

20.00 10.00

50.00 8.00

100.00 11.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/24/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 1146: cuadre daniela.xlsx

5.00 0.00

10.00 4.00

20.00 31.00

50.00 25.00

100.00 50.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS PRESTAMOS GAULIZ-RICHAR

TOTAL ENTREGADO

10/25/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 2.00

50.00 26.00

100.00 20.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/26/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 0.00

10.00 3.00

20.00 7.00

50.00 1.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1147: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

10/27/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 6.00

2.00 1.00

5.00 0.00

10.00 11.00

20.00 1.00

50.00 4.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/28/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 13.00

10.00 2.00

20.00 2.00

50.00 35.00

100.00 36.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 7804

TOTAL ENTREGADO

10/29/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

Page 1148: cuadre daniela.xlsx

1.00 1.00

2.00 2.00

5.00 1.00

10.00 7.00

20.00 10.00

50.00 6.00

100.00 8.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

10/31/2011

Page 1149: cuadre daniela.xlsx

total0.00

6.00

0.00

110.00

380.00

3,250.00

3,800.00

7,546.00

0.00915.00

0.00

8,461.00

total0.00

0.00

0.00

20.00

200.00

350.00

0.00

570.00

0.00275.00

0.00

845.00

total0.00

26.00

0.00

Page 1150: cuadre daniela.xlsx

90.00

220.00

1,000.00

1,800.00

3,136.00

0.0010,538.0012,655.00

26,329.00

total0.00

20.00

0.00

50.00

240.00

2,750.00

2,000.00

5,060.00

7,150.009,790.00

0.00

22,000.00

total0.00

6.00

5.00

10.00

120.00

800.00

400.00

1,341.00

0.001,890.00

Page 1151: cuadre daniela.xlsx

0.00

3,231.00

total20.00

10.00

35.00

30.00

0.00

150.00

1,200.00

1,445.00

9,800.009,460.00

0.00

20,705.00

total0.00

0.00

0.00

10.00

0.00

0.00

200.00

210.00

4,380.000.000.00

4,590.00

Page 1152: cuadre daniela.xlsx

total20.00

0.00

0.00

40.00

20.00

0.00

300.00

380.00

0.001,350.00

0.00

1,730.00

total0.00

0.00

0.00

0.00

80.00

100.00

700.00

880.00

0.00460.00

0.00

1,340.00

total0.00

0.00

0.00

10.00

80.00

1,550.00

3,100.00

Page 1153: cuadre daniela.xlsx

4,740.00

0.001,485.00

0.00

6,225.00

total0.00

0.00

5.00

90.00

20.00

1,250.00

5,900.00

7,265.00

2,916.06900.00

0.00

11,081.06

total1.00

0.00

0.00

300.00

120.00

100.00

100.00

621.00

1,090.006,550.552,009.00

10,270.55

Page 1154: cuadre daniela.xlsx

total0.00

0.00

0.00

10.00

260.00

350.00

900.00

1,520.00

0.00260.00

0.00

1,780.00

total1.00

4.00

10.00

330.00

0.00

250.00

600.00

1,195.00

0.002,215.00

0.00

3,410.00

total0.00

0.00

0.00

10.00

Page 1155: cuadre daniela.xlsx

0.00

50.00

0.00

60.00

0.001,550.00

0.00

1,610.00

total3.00

32.00

35.00

110.00

80.00

1,050.00

4,400.00

5,710.00

6,843.291,110.00540.00

14,203.29

total0.00

0.00

0.00

0.00

40.00

800.00

1,400.00

2,240.00

0.006,645.00

0.00

8,885.00

Page 1156: cuadre daniela.xlsx

total0.00

10.00

0.00

0.00

0.00

200.00

500.00

710.00

4,015.002,905.00

85.00

7,715.00

total0.00

4.00

40.00

0.00

200.00

400.00

1,100.00

1,744.00

3,821.606,985.00

12,550.60

total0.00

0.00

Page 1157: cuadre daniela.xlsx

0.00

40.00

620.00

1,250.00

5,000.00

6,910.00

0.00175.00200.00

7,285.00

total0.00

0.00

0.00

10.00

40.00

1,300.00

2,000.00

3,350.00

1,379.4715,000.002,452.00

22,181.47

total0.00

6.00

0.00

30.00

140.00

50.00

200.00

426.00

1,529.2920,310.00

Page 1158: cuadre daniela.xlsx

0.00

22,265.29

total6.00

2.00

0.00

110.00

20.00

200.00

800.00

1,138.00

0.005,625.00

0.00

6,763.00

total0.00

10.00

65.00

20.00

40.00

1,750.00

3,600.00

5,485.00

500.002,330.00

72.00

8,387.00

total

Page 1159: cuadre daniela.xlsx

1.00

4.00

5.00

70.00

200.00

300.00

800.00

1,380.00

8,611.755,230.00

0.00

15,221.75

Page 1160: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 5.00

20.00 0.00

50.00 29.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS VIATICOS+TRANSFERENCIA

TOTAL ENTREGADO

11/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 0.00

10.00 3.00

20.00 41.00

50.00 14.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS extracredito banesco

TOTAL ENTREGADO

11/2/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 0.00

10.00 4.00

Page 1161: cuadre daniela.xlsx

20.00 4.00

50.00 32.00

100.00 5.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS PRESTAMO DORFRAN

TOTAL ENTREGADO

11/3/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 0.00

50.00 95.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/4/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 0.00

10.00 0.00

20.00 0.00

50.00 10.00

100.00 12.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

Page 1162: cuadre daniela.xlsx

TOTAL ENTREGADO

11/7/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 0.00

10.00 8.00

20.00 52.00

50.00 7.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS MI IZIELO

TOTAL ENTREGADO

11/8/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 2.00

10.00 5.00

20.00 7.00

50.00 39.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/9/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

Page 1163: cuadre daniela.xlsx

2.00 0.00

5.00 1.00

10.00 0.00

20.00 1.00

50.00 0.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/10/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 3.00

10.00 82.00

20.00 1.00

50.00 39.00

100.00 28.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/11/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 3.00

5.00 0.00

10.00 41.00

20.00 66.00

50.00 197.00

100.00 228.00

EFECTIVO

CHEQUE

Page 1164: cuadre daniela.xlsx

DEBITOS Y/O CREDITODEPOSITOS FACT:8308

TOTAL ENTREGADO

11/12/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 6.00

10.00 26.00

20.00 45.00

50.00 68.00

100.00 36.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/14/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 1.00

50.00 13.00

100.00 46.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/15/2011

Ventas 3: DORFRAN GONZALEZ

Page 1165: cuadre daniela.xlsx

billetes cantidad1.00 0.00

2.00 0.00

5.00 4.00

10.00 1.00

20.00 11.00

50.00 39.00

100.00 7.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/16/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 57.00

50.00 128.00

100.00 27.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/17/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 9.00

10.00 5.00

20.00 5.00

50.00 91.00

Page 1166: cuadre daniela.xlsx

100.00 105.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/18/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 165.00

50.00 54.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:8545

TOTAL ENTREGADO

11/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 2.00

5.00 1.00

10.00 8.00

20.00 12.00

50.00 22.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS NOLBYS

TOTAL ENTREGADO

Page 1167: cuadre daniela.xlsx

11/21/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 4.00

20.00 0.00

50.00 8.00

100.00 0.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/22/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 106.00

20.00 9.00

50.00 80.00

100.00 34.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/23/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

Page 1168: cuadre daniela.xlsx

20.00 13.00

50.00 3.00

100.00 6.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/24/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 21.00

50.00 24.00

100.00 27.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/25/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 1.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 106.00

50.00 37.00

100.00 60.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:00275-8816

TOTAL ENTREGADO

Page 1169: cuadre daniela.xlsx

11/26/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 5.00

10.00 9.00

20.00 24.00

50.00 58.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/28/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 2.00

20.00 0.00

50.00 8.00

100.00 9.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

11/29/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 1170: cuadre daniela.xlsx

5.00 0.00

10.00 0.00

20.00 200.00

50.00 100.00

100.00 49.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO1ER CORTE: 13900

11/30/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 0.00

20.00 5.00

50.00 10.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO1ER CORTE: 13900

11/30/2011

Page 1171: cuadre daniela.xlsx

total0.00

0.00

0.00

50.00

0.00

1,450.00

1,300.00

2,800.00

0.002,500.004,445.00

9,745.00

total0.00

4.00

0.00

30.00

820.00

700.00

500.00

2,054.00

750.00905.00

3,500.00

7,209.00

total1.00

4.00

0.00

40.00

Page 1172: cuadre daniela.xlsx

80.00

1,600.00

500.00

2,225.00

3,489.404,220.00250.00

10,184.40

total0.00

0.00

0.00

30.00

0.00

4,750.00

1,300.00

6,080.00

5,340.003,520.00

0.00

14,940.00

total0.00

2.00

0.00

0.00

0.00

500.00

1,200.00

1,702.00

0.00950.000.00

Page 1173: cuadre daniela.xlsx

2,652.00

total0.00

10.00

0.00

80.00

1,040.00

350.00

600.00

2,080.00

0.007,340.003,900.00

13,320.00

total0.00

20.00

10.00

50.00

140.00

1,950.00

300.00

2,470.00

10,904.823,815.00

0.00

17,189.82

total0.00

Page 1174: cuadre daniela.xlsx

0.00

5.00

0.00

20.00

0.00

0.00

25.00

4,250.001,140.00

0.00

5,415.00

total0.00

20.00

15.00

820.00

20.00

1,950.00

2,800.00

5,625.00

0.001,045.00

0.00

6,670.00

total1.00

6.00

0.00

410.00

1,320.00

9,850.00

22,800.00

34,387.00

0.00

Page 1175: cuadre daniela.xlsx

6,645.0065.00

41,097.00

total0.00

20.00

30.00

260.00

900.00

3,400.00

3,600.00

8,210.00

0.004,818.00

0.00

13,028.00

total0.00

0.00

5.00

10.00

20.00

650.00

4,600.00

5,285.00

5,364.991,300.00

0.00

11,949.99

Page 1176: cuadre daniela.xlsx

total0.00

0.00

20.00

10.00

220.00

1,950.00

700.00

2,900.00

4,530.009,259.00

0.00

16,689.00

total0.00

0.00

5.00

0.00

1,140.00

6,400.00

2,700.00

10,245.00

4,430.007,763.00200.00

22,638.00

total0.00

0.00

45.00

50.00

100.00

4,550.00

Page 1177: cuadre daniela.xlsx

10,500.00

15,245.00

0.0015,920.00

0.00

31,165.00

total0.00

0.00

0.00

40.00

3,300.00

2,700.00

0.00

6,040.00

5,405.0013,910.00

72.00

25,427.00

total1.00

4.00

5.00

80.00

240.00

1,100.00

300.00

1,730.00

17,525.0013,395.00

100.00

32,750.00

Page 1178: cuadre daniela.xlsx

total0.00

0.00

0.00

40.00

0.00

400.00

0.00

440.00

890.00195.000.00

1,525.00

total0.00

0.00

5.00

1,060.00

180.00

4,000.00

3,400.00

8,645.00

39,278.777,715.00

0.00

55,638.77

total0.00

0.00

0.00

10.00

Page 1179: cuadre daniela.xlsx

260.00

150.00

600.00

1,020.00

0.00330.000.00

1,350.00

total0.00

0.00

5.00

30.00

420.00

1,200.00

2,700.00

4,355.00

4,855.008,130.00

0.00

17,340.00

total1.00

0.00

0.00

0.00

2,120.00

1,850.00

6,000.00

9,971.00

7,490.0017,170.00

923.20

35,554.20

Page 1180: cuadre daniela.xlsx

total0.00

0.00

25.00

90.00

480.00

2,900.00

1,600.00

5,095.00

2,543.429,525.00

0.00

17,163.42

total0.00

0.00

5.00

20.00

0.00

400.00

900.00

1,325.00

0.00435.000.00

1,760.00

total0.00

0.00

Page 1181: cuadre daniela.xlsx

0.00

0.00

4,000.00

5,000.00

4,900.00

13,900.00

0.000.000.00

13,900.00

total0.00

0.00

5.00

0.00

100.00

500.00

100.00

705.00

1,011.604,470.00

0.00

6,186.60

Page 1182: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 3.00

5.00 1.00

10.00 8.00

20.00 19.00

50.00 11.00

100.00 62.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

12/1/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 10.00

5.00 5.00

10.00 0.00

20.00 7.00

50.00 8.00

100.00 86.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

12/2/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 1.00

5.00 1.00

10.00 3.00

Page 1183: cuadre daniela.xlsx

20.00 54.00

50.00 15.00

100.00 58.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

12/3/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 11.00

20.00 523.00

50.00 80.00

100.00 16.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

12/5/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 40.00

10.00 2.00

20.00 3.00

50.00 55.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS BOMBILOS

TOTAL ENTREGADO

Page 1184: cuadre daniela.xlsx

12/6/2011

Page 1185: cuadre daniela.xlsx

total0.00

6.00

5.00

80.00

380.00

550.00

6,200.00

7,221.00

10,085.003,525.00

0.00

20,831.00

total0.00

20.00

25.00

0.00

140.00

400.00

8,600.00

9,185.00

0.005,670.00

0.00

14,855.00

total0.00

2.00

5.00

30.00

Page 1186: cuadre daniela.xlsx

1,080.00

750.00

5,800.00

7,667.00

4,550.006,740.00

60.00

19,017.00

total0.00

0.00

0.00

110.00

10,460.00

4,000.00

1,600.00

16,170.00

4,195.004,825.00

60.00

25,250.00

total0.00

0.00

200.00

20.00

60.00

2,750.00

1,300.00

4,330.00

0.005,720.00500.00

10,550.00

Page 1187: cuadre daniela.xlsx
Page 1188: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 2.00

10.00 47.00

20.00 22.00

50.00 33.00

100.00 39.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/6/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 1.00

20.00 0.00

50.00 0.00

100.00 47.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:10090 AGUA

TOTAL ENTREGADO

1/7/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 10.00

10.00 4.00

20.00 16.00

Page 1189: cuadre daniela.xlsx

50.00 99.00

100.00 31.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT:00002695 COMIDA

TOTAL ENTREGADO

1/9/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 1.00

50.00 84.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JORTIN

TOTAL ENTREGADO

1/10/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 2.00

5.00 1.00

10.00 1.00

20.00 7.00

50.00 1.00

100.00 4.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS LUZ+VIATICOS+FACT;00003003

TOTAL ENTREGADO

Page 1190: cuadre daniela.xlsx

1/11/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 5.00

5.00 1.00

10.00 100.00

20.00 3.00

50.00 81.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS DORFRAN PRESTAMOS

TOTAL ENTREGADO

1/12/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 2.00

50.00 6.00

100.00 1.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS fact:026896

TOTAL ENTREGADO

1/13/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

Page 1191: cuadre daniela.xlsx

5.00 0.00

10.00 22.00

20.00 1.00

50.00 4.00

100.00 3.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/14/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 6.00

50.00 6.00

100.00 13.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT TORTA:076646

TOTAL ENTREGADO

1/16/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 15.00

20.00 8.00

50.00 0.00

100.00 20.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

Page 1192: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

1/17/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 8.00

20.00 2.00

50.00 117.00

100.00 67.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS viaticos andry

TOTAL ENTREGADO

1/18/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 46.00

20.00 38.00

50.00 22.00

100.00 77.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS JORTIN

TOTAL ENTREGADO

1/19/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

Page 1193: cuadre daniela.xlsx

1.00 0.00

2.00 1.00

5.00 1.00

10.00 5.00

20.00 8.00

50.00 21.00

100.00 29.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS fact agua: 10562

TOTAL ENTREGADO

1/21/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 64.00

20.00 47.00

50.00 45.00

100.00 26.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/23/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 2.00

2.00 3.00

5.00 1.00

10.00 28.00

20.00 3.00

50.00 7.00

100.00 10.00

EFECTIVO

Page 1194: cuadre daniela.xlsx

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS ANDRY

TOTAL ENTREGADO

1/24/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 24.00

20.00 21.00

50.00 49.00

100.00 31.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/25/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 0.00

20.00 6.00

50.00 9.00

100.00 10.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/26/2011

Page 1195: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 5.00

50.00 2.00

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/27/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 0.00

10.00 3.00

20.00 3.00

50.00 94.00

100.00 18.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS FACT: 10735

TOTAL ENTREGADO

1/28/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 3.00

2.00 0.00

5.00 1.00

10.00 3.00

20.00 0.00

50.00 0.00

Page 1196: cuadre daniela.xlsx

100.00 2.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS credifacil

TOTAL ENTREGADO

1/30/2011

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 19.00

10.00 32.00

20.00 13.00

50.00 41.00

100.00 56.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

1/31/2011

Page 1197: cuadre daniela.xlsx

total0.00

0.00

10.00

470.00

440.00

1,650.00

3,900.00

6,470.00

0.002,255.00

0.00

8,725.00

total0.00

0.00

0.00

10.00

0.00

0.00

4,700.00

4,710.00

0.0014,165.00

0.00

18,875.00

total0.00

0.00

50.00

40.00

320.00

Page 1198: cuadre daniela.xlsx

4,950.00

3,100.00

8,460.00

0.0012,741.00

60.00

21,261.00

total0.00

0.00

5.00

10.00

20.00

4,200.00

1,000.00

5,235.00

0.0010,050.00

300.00

15,585.00

total0.00

4.00

5.00

10.00

140.00

50.00

400.00

609.00

0.009,790.00300.00

10,699.00

Page 1199: cuadre daniela.xlsx

total0.00

10.00

5.00

1,000.00

60.00

4,050.00

300.00

5,425.00

0.009,010.00350.00

14,785.00

total0.00

0.00

0.00

0.00

40.00

300.00

100.00

440.00

0.001,175.00

60.00

1,675.00

total0.00

0.00

Page 1200: cuadre daniela.xlsx

0.00

220.00

20.00

200.00

300.00

740.00

3,750.001,630.00220.00

6,340.00

total0.00

0.00

5.00

10.00

120.00

300.00

1,300.00

1,735.00

8,243.897,235.00190.00

17,403.89

total0.00

0.00

0.00

150.00

160.00

0.00

2,000.00

2,310.00

1,129.985,025.00

Page 1201: cuadre daniela.xlsx

0.00

8,464.98

total0.00

0.00

0.00

80.00

40.00

5,850.00

6,700.00

12,670.00

0.002,315.00

50.00

15,035.00

total0.00

0.00

5.00

460.00

760.00

1,100.00

7,700.00

10,025.00

0.00730.00710.00

11,465.00

total

Page 1202: cuadre daniela.xlsx

0.00

2.00

5.00

50.00

160.00

1,050.00

2,900.00

4,167.00

0.004,020.00

60.00

8,247.00

total0.00

0.00

0.00

640.00

940.00

2,250.00

2,600.00

6,430.00

0.00725.00

0.00

7,155.00

total2.00

6.00

5.00

280.00

60.00

350.00

1,000.00

1,703.00

Page 1203: cuadre daniela.xlsx

0.003,340.00

5.00

5,048.00

total0.00

0.00

0.00

240.00

420.00

2,450.00

3,100.00

6,210.00

5,796.00270.00

0.00

12,276.00

total0.00

0.00

0.00

0.00

120.00

450.00

1,000.00

1,570.00

0.00395.00

0.00

1,965.00

Page 1204: cuadre daniela.xlsx

total0.00

0.00

0.00

30.00

100.00

100.00

200.00

430.00

0.008,240.55

0.00

8,670.55

total0.00

0.00

0.00

30.00

60.00

4,700.00

1,800.00

6,590.00

4,600.001,840.00

60.00

13,090.00

total3.00

0.00

5.00

30.00

0.00

0.00

Page 1205: cuadre daniela.xlsx

200.00

238.00

294.29345.00

4,000.00

4,877.29

total0.00

0.00

95.00

320.00

260.00

2,050.00

5,600.00

8,325.00

20,144.1011,150.00

0.00

39,619.10

Page 1206: cuadre daniela.xlsx

Ventas 3: DORFRAN GONZALEZ billetes cantidad

1.00 0.00

2.00 0.00

5.00 1.00

10.00 1.00

20.00 1.00

50.00 3.00

100.00 42.00

EFECTIVO

CHEQUE DEBITOS Y/O CREDITO

DEPOSITOS

TOTAL ENTREGADO

2/1/2012

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 5

10.00 12

20.00 4

50.00 15

100.00 45

EFECTIVO

CHEQUE CARONI Nº04142210 1,048.40

0.000.000.00

DEBITO/CREDITO 345.00300.00135.00950.00110.00

6,225.000.000.000.00

Page 1207: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,065.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 22

20.00 9

50.00 1

100.00 11

EFECTIVO

CHEQUE 0.000.000.000.00

DEBITO/CREDITO 3,250.00235.00

0.000.000.000.000.00

Page 1208: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,485.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 1

20.00 6

50.00 7

100.00 9

EFECTIVO

CHEQUE 0.000.000.000.00

DEBITO/CREDITO 1,800.00910.0055.00

2,000.00285.00

Page 1209: cuadre daniela.xlsx

2,085.002,050.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,185.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 9

20.00 30

50.00 2

100.00 6

EFECTIVO

CHEQUE del sur nº83003884 3,800.00

0.000.000.00

DEBITO/CREDITO 390.00215.00

0.00

Page 1210: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 605.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 63

20.00 212

50.00 10

100.00 5

EFECTIVO

CHEQUE 0.000.000.000.00

DEBITO/CREDITO 0.00

Page 1211: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 8

20.00 5

50.00 19

100.00 12

EFECTIVO

CHEQUE 0.000.000.00

Page 1212: cuadre daniela.xlsx

0.00DEBITO/CREDITO 45.00

280.004,500.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,825.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 5

5.00 2

10.00 1

20.00 100

50.00 13

100.00 11

EFECTIVO

CHEQUE 0.00

Page 1213: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 880.0085.00135.00210.0060.00

EXTRA CREDITO BANESCO 2,000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,370.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 6

50.00 0

100.00 14

EFECTIVO

CHEQUE

Page 1214: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 70.00205.00

3,000.003,470.00

55.00295.00

1,530.0060.00

FACT AGUA:11197 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,685.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 47

50.00 57

100.00 56

Page 1215: cuadre daniela.xlsx

EFECTIVO

CHEQUE 0.00GUAYANA:47934685 1,687.52

PROVINCIAL: 00006265 1,139.98

PROVINCIAL: 00015419 15,384.76MERCANTIL: 99119606 7,692.38

CARONI:12222939 16,824.84

BANESCO: 20435030 434.00CORP BANCA: 97001098 6,113.75

DEBITO/CREDITO 345.00455.00250.00130.0090.00390.0055.00310.00700.00

RET. ALCALDIA 47.86RET. ALCALDIA 120.43RET. ALCALDIA 60.21

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,953.50DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 5

2.00 0

5.00 1

10.00 1

20.00 1

Page 1216: cuadre daniela.xlsx

50.00 3

100.00 1

EFECTIVO

CHEQUE BANESCO: 20598286 3,630.00

0.000.000.000.000.000.00

DEBITO/CREDITO 3,891.811,250.00

0.000.000.000.000.000.000.00

RET. ALCALDIA 30.460.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,172.27DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

Page 1217: cuadre daniela.xlsx

10.00 0

20.00 1

50.00 4

100.00 6

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 75.0065.0075.00135.00110.00100.00

4,275.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,835.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

Page 1218: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 35

20.00 0

50.00 2

100.00 0

EFECTIVO

CHEQUE VENEZUELA: 71005605 3,313.98

0.000.000.000.000.000.00

DEBITO/CREDITO 1,800.00960.00550.00

2,950.0085.00

2,050.002,000.00

RET. ALCALDIA 24.310.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,419.31DEPOSITOS

TOTAL ENTREGADO

Page 1219: cuadre daniela.xlsx

total0.00

0.00

5.00

10.00

20.00

150.00

4,200.00

4,385.00

0.001,190.00

0.00

5,575.00

2/1/2012total0.00

0.00

25.00

120.00

80.00

750.00

4,500.00

5,475.00

1,048.40

Page 1220: cuadre daniela.xlsx

8,065.000.00

14,588.40

2/3/2012total0.00

0.00

5.00

220.00

180.00

50.00

1,100.00

1,555.00

0.00

Page 1221: cuadre daniela.xlsx

3,485.000.00

5,040.00

2/6/2012total0.00

0.00

20.00

10.00

120.00

350.00

900.00

1,400.00

0.00

Page 1222: cuadre daniela.xlsx

9,185.000.00

10,585.00

2/7/2012total0.00

0.00

10.00

90.00

600.00

100.00

600.00

1,400.00

3,800.00

Page 1223: cuadre daniela.xlsx

605.000.00

5,805.00

2/8/2012total0.00

0.00

0.00

630.00

4,240.00

500.00

500.00

5,870.00

0.00

Page 1224: cuadre daniela.xlsx

0.000.00

5,870.00

2/9/2012total0.00

0.00

5.00

80.00

100.00

950.00

1,200.00

2,335.00

0.00

Page 1225: cuadre daniela.xlsx

4,825.000.00

7,160.00

2/10/2012total0.00

10.00

10.00

10.00

2,000.00

650.00

1,100.00

3,780.00

0.00

Page 1226: cuadre daniela.xlsx

3,370.000.00

7,150.00

2/11/2012total0.00

0.00

0.00

0.00

120.00

0.00

1,400.00

1,520.00

0.00

Page 1227: cuadre daniela.xlsx

8,685.000.00

10,205.00

2/13/2012total0.00

0.00

0.00

0.00

940.00

2,850.00

5,600.00

Page 1228: cuadre daniela.xlsx

9,390.00

49,277.23

2,953.500.00

61,620.73

2/14/2012total5.00

0.00

5.00

10.00

20.00

Page 1229: cuadre daniela.xlsx

150.00

100.00

290.00

3,630.00

5,172.27 9092.270.00

9,092.27

2/15/2012total0.00

0.00

0.00

Page 1230: cuadre daniela.xlsx

0.00

20.00

200.00

600.00

820.00

0.00

4,835.000.00

5,655.00

2/16/2012total0.00

Page 1231: cuadre daniela.xlsx

0.00

0.00

350.00

0.00

100.00

0.00

450.00

3,313.98

10,419.310.00

14,183.29

Page 1232: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 1

50.00 0

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,205.003,600.00200.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,005.00DEPOSITOS

Page 1233: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 16

20.00 2

50.00 101

100.00 89

EFECTIVO

CHEQUE CARONI 6,935.00

0.000.000.000.000.000.00

DEBITO/CREDITO 650.005,200.00

65.00515.00800.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,230.00

Page 1234: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 10

20.00 55

50.00 103

100.00 19

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 280.00290.0025.00390.00190.00110.0065.00

DEVOLUCION FACT: 76613 450.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1235: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 1,800.00DEPOSITOS

TOTAL ENTREGADO

Page 1236: cuadre daniela.xlsx

10/29/2012total0.00

0.00

0.00

40.00

20.00

0.00

700.00

760.00

0.00

5,005.000.00

Page 1237: cuadre daniela.xlsx

5,765.00

10/30/2012total0.00

0.00

5.00

160.00

40.00

5,050.00

8,900.00

14,155.00

6,935.00

7,230.00

Page 1238: cuadre daniela.xlsx

0.00

28,320.00

10/31/2012total0.00

0.00

0.00

100.00

1,100.00

5,150.00

1,900.00

8,250.00

0.00

Page 1239: cuadre daniela.xlsx

1,800.000.00

10,050.00

Page 1240: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 11

20.00 40

50.00 174

100.00 13

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 170.001,200.007,200.001,070.00135.00230.00

5,000.00COMIDA INSTALADORES 150.00

FACT:00180687 356.87ANDRY 2,433.00

FACT: 5381 253.86FACT: 1480 349.44

FACT: 84258 20.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 18,568.17DEPOSITOS

Page 1241: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 57

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 330.006,115.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,445.00

Page 1242: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 0

5.00 1

10.00 1

20.00 2

50.00 3

100.00 29

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 750.00530.00290.00

2,320.00credifacil 3,600.00

fact: 84358 160.00agua 50.00

andry comida 35.00fact: 241 260.00dorfran 200.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1243: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 8,195.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 7

10.00 18

20.00 13

50.00 9

100.00 10

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 200.00500.00300.00120.0050.00

2,720.00588.34

EXTRA CREDITO BANESCO 7,300.00DEVOLUCION FACTURA 1,000.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1244: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 12,778.34

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 155

100.00 2

EFECTIVO

CHEQUE banesco 5,000.00

0.000.000.000.000.000.00

DEBITO/CREDITO 2,060.003,600.001,600.00470.00540.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1245: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 8,270.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 0

100.00 1

EFECTIVO

CHEQUE

BICENTENARIO 12,507.130.000.000.000.000.000.00

DEBITO/CREDITO 720.0070.00

330.00500.00370.00570.00480.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1246: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 3,040.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 1

100.00 15

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 125.00220.00

7,440.00455.00410.00130.00115.00480.00

fact:84778 20.00fact84776 30.00

dev. Factura: 77242 7,440.00dev. Factura: 76570 650.00

0.000.000.000.000.000.00

Page 1247: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 17,515.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 1

20.00 1

50.00 6

100.00 4

EFECTIVO

CHEQUE PROVINCIAL:00005033 1,800.00

0.000.000.000.000.000.00

DEBITO/CREDITO 4,590.00550.00290.00

9,800.003,600.00

FACTURA:141071 81.80FACTURA:137517 44.06

LUIS PORTILLO 100.00DORFRAN 100.00

0.000.000.000.000.000.000.000.00

Page 1248: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 19,155.86DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 14

10.00 0

20.00 17

50.00 13

100.00 63

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 65.001,300.00290.00100.00650.00

COMIDA RICHAR 70.00SAN FELIX 421.06

ANDRY 4.000.000.000.000.000.000.000.000.00

Page 1249: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,900.06DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 1

100.00 2

EFECTIVO

CHEQUE B.O.D 5,000.00

0.000.000.000.000.000.00

DEBITO/CREDITO 390.00940.00260.00290.00

CREDI FACIL 7,840.00100.00

0.000.000.000.000.000.000.000.000.00

Page 1250: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,820.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 187

50.00 0

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 100.00720.00290.0090.000.000.000.000.000.000.000.000.000.00

Page 1251: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,200.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 3

50.00 17

100.00 30

EFECTIVO

CHEQUE GUAYANA 48551456 3,600.00

0.000.000.000.000.000.00

DEBITO/CREDITO 5,200.00800.00460.00280.00220.00320.00

1,130.004,300.00530.00

FACTURA AGUA 75.00DORFRAN 500.00

Page 1252: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 13,815.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 40

50.00 48

100.00 39

EFECTIVO

CHEQUE

BNC: 3,557.870.000.000.000.000.000.00

DEBITO/CREDITO 610.00220.00

7,200.00RET. ALCALDIA 15.00

0.000.000.000.000.000.00

Page 1253: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,045.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 25

20.00 48

50.00 37

100.00 14

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 370.00930.00200.00520.00

0.000.000.000.000.00

Page 1254: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,020.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 0

5.00 0

10.00 0

20.00 23

50.00 43

100.00 7

EFECTIVO

CHEQUE caroni: 00021243 643.75

0.000.000.000.000.000.00

DEBITO/CREDITO 600.003,190.00

70.007,500.002,500.00120.00

0.000.00

Page 1255: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 13,980.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 1

50.00 13

100.00 5

EFECTIVO

CHEQUE

CARONI: 12266646 10,037.490.000.000.000.000.000.00

DEBITO/CREDITO 6,450.005,400.005,400.00220.00151.00150.00420.00

Page 1256: cuadre daniela.xlsx

250.00ANDRY 300.00ANDRY 240.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 18,981.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 81

50.00 146

100.00 37

EFECTIVO

CHEQUE provincial:00004040 10,800.00venezuela: 63146279 6,022.50

bnc: 77603487 32,028.780.000.000.000.00

DEBITO/CREDITO 450.002,290.004,215.00350.0080.00

640.00

Page 1257: cuadre daniela.xlsx

360.00ret. Alcaldia 250.71ret. Alcaldia 47.14

DEV.FACT:77997 110.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,792.85DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 7

20.00 39

50.00 202

100.00 5

EFECTIVO

CHEQUE MERCANTIL:02687649 3,820.00

0.000.000.000.000.000.00

DEBITO/CREDITO 360.00105.00

3,500.00500.00

2,000.00

Page 1258: cuadre daniela.xlsx

200.00300.00

3,000.00180.00

3,370.00250.00

5,400.003,400.00

NOTA CONTROL: 1288 8,820.00FACT AGUA: 6892 100.00

5,480.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 36,965.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 2

20.00 1

50.00 5

100.00 8

EFECTIVO

CHEQUE

BNC:96600299 961.03BNC:63601333 9,907.32BNC:26600441 3,359.65

0.000.000.000.00

DEBITO/CREDITO 1,131.00420.00100.00100.00

Page 1259: cuadre daniela.xlsx

330.0080.00

2,900.00RET. ALCALDIA 78.57RET. ALCALDIA 24.64

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,164.21DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 4

50.00 0

100.00 0

EFECTIVO

CHEQUE credi facil: 33260635 2,600.00

0.000.000.000.000.000.00

DEBITO/CREDITO 480.005,900.001,145.00

Page 1260: cuadre daniela.xlsx

300.0090.00

factura:116304 390.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,305.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 7

20.00 4

50.00 7

100.00 9

EFECTIVO

CHEQUE PROVINCIAL: 00012316 809.98

CARONI: 00038253 1,227.700.000.000.000.000.00

DEBITO/CREDITO 6,400.00300.00

Page 1261: cuadre daniela.xlsx

1,600.002,000.00250.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,550.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 1

10.00 0

20.00 0

50.00 10

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,101.00

Page 1262: cuadre daniela.xlsx

1,650.00840.00300.00

3,600.001,101.00590.00

RET. ALCALDIA 25.71MRW 60.00

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,267.71DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 0

20.00 2

50.00 154

100.00 14

EFECTIVO

CHEQUE caroni: 00001668 4,000.00

0.000.000.000.000.000.00

Page 1263: cuadre daniela.xlsx

DEBITO/CREDITO 4,175.00700.00

7,885.00500.00

8,550.00200.00

2,340.00760.0065.00

500.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 25,675.00DEPOSITOS

TOTAL ENTREGADO

Page 1264: cuadre daniela.xlsx

11/1/2012total0.00

2.00

0.00

110.00

800.00

8,700.00

1,300.00

10,912.00

0.00

18,568.170.00

Page 1265: cuadre daniela.xlsx

29,480.17

11/2/2012total0.00

0.00

0.00

0.00

0.00

0.00

5,700.00

5,700.00

0.00

6,445.00

Page 1266: cuadre daniela.xlsx

0.00

12,145.00

11/3/2012total1.00

0.00

5.00

10.00

40.00

150.00

2,900.00

3,106.00

0.00

Page 1267: cuadre daniela.xlsx

8,195.000.00

11,301.00

11/5/2012total0.00

0.00

35.00

180.00

260.00

450.00

1,000.00

1,925.00

0.00

Page 1268: cuadre daniela.xlsx

12,778.340.00

14,703.34

11/8/2012total0.00

0.00

0.00

10.00

0.00

7,750.00

200.00

7,960.00

5,000.00

Page 1269: cuadre daniela.xlsx

8,270.000.00

21,230.00

11/9/2012total0.00

0.00

0.00

10.00

0.00

0.00

100.00

110.00

12,507.13

Page 1270: cuadre daniela.xlsx

3,040.000.00

15,657.13

11/10/2012total0.00

0.00

0.00

0.00

0.00

50.00

1,500.00

1,550.00

0.00

Page 1271: cuadre daniela.xlsx

17,515.000.00

19,065.00

11/13/2012total0.00

4.00

0.00

10.00

20.00

300.00

400.00

734.00

1,800.00

Page 1272: cuadre daniela.xlsx

19,155.860.00

21,689.86

11/14/2012total0.00

4.00

70.00

0.00

340.00

650.00

6,300.00

7,364.00

0.00

Page 1273: cuadre daniela.xlsx

2,900.060.00

10,264.06

11/15/2012total0.00

0.00

0.00

20.00

20.00

50.00

200.00

290.00

5,000.00

Page 1274: cuadre daniela.xlsx

9,820.000.00

15,110.00

11/16/2012total0.00

0.00

0.00

0.00

3,740.00

0.00

100.00

3,840.00

0.00

Page 1275: cuadre daniela.xlsx

1,200.000.00

5,040.00

11/17/2012total0.00

0.00

0.00

0.00

60.00

850.00

3,000.00

3,910.00

3,600.00

Page 1276: cuadre daniela.xlsx

13,815.000.00

21,325.00

11/19/2012total0.00

0.00

0.00

10.00

800.00

2,400.00

3,900.00

7,110.00

3,557.87

Page 1277: cuadre daniela.xlsx

8,045.000.00

18,712.87

11/20/2012total0.00

0.00

5.00

250.00

960.00

1,850.00

1,400.00

4,465.00

0.00

Page 1278: cuadre daniela.xlsx

2,020.000.00

6,485.00

11/21/2012total1.00

0.00

0.00

0.00

460.00

2,150.00

700.00

3,311.00

643.75

Page 1279: cuadre daniela.xlsx

13,980.000.00

17,934.75

11/22/2012total0.00

0.00

0.00

0.00

20.00

650.00

500.00

1,170.00

10,037.49

Page 1280: cuadre daniela.xlsx

18,981.000.00

30,188.49

11/23/2012total0.00

0.00

0.00

0.00

1,620.00

7,300.00

3,700.00

12,620.00

48,851.28

Page 1281: cuadre daniela.xlsx

8,792.850.00

70,264.13

11/24/2012total0.00

0.00

0.00

70.00

780.00

10,100.00

500.00

11,450.00

3,820.00

Page 1282: cuadre daniela.xlsx

36,965.000.00

52,235.00

11/26/2012total0.00

0.00

5.00

20.00

20.00

250.00

800.00

1,095.00

14,228.00

Page 1283: cuadre daniela.xlsx

5,164.210.00

20,487.21

11/27/2012total0.00

0.00

0.00

0.00

80.00

0.00

0.00

80.00

2,600.00

Page 1284: cuadre daniela.xlsx

8,305.000.00

10,985.00

11/28/2012total0.00

0.00

10.00

70.00

80.00

350.00

900.00

1,410.00

2,037.68

Page 1285: cuadre daniela.xlsx

10,550.000.00

13,997.68

11/29/2012total0.00

4.00

5.00

0.00

0.00

500.00

0.00

509.00

0.00

Page 1286: cuadre daniela.xlsx

9,267.710.00

9,776.71

11/30/2012total0.00

0.00

10.00

0.00

40.00

7,700.00

1,400.00

9,150.00

4,000.00

Page 1287: cuadre daniela.xlsx

25,675.000.00

38,825.00

Page 1288: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 0

20.00 0

50.00 1

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,710.00560.0060.00

1,000.007,900.002,410.00130.00

3,810.006,000.00

FACT: 7340 100.00CREDICOMPRA BANESCO 6,500.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 30,180.00DEPOSITOS

Page 1289: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 2

5.00 0

10.00 0

20.00 0

50.00 25

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 400.003,900.00

80.001,100.00780.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,260.00

Page 1290: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 0

50.00 25

100.00 1

EFECTIVO

CHEQUE

banesco: 19045838 16,425.02bnc: 34601379 10,037.50

0.000.000.000.000.00

DEBITO/CREDITO 1,100.00560.00900.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1291: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 2,560.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 4

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1292: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 0.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 3

20.00 1

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 200.005,030.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1293: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 5,230.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 56

50.00 2

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 200.00240.00140.00450.00

2,800.00300.00640.00370.00

0.000.000.000.000.000.000.000.000.000.000.00

Page 1294: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 5,140.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 530.001,800.00210.00

1,800.00260.00410.0065.00

450.003,900.00

TAXI YEXANDER 60.00JUAN CARLOS 40.00

ARTURO 40.000.000.000.000.000.000.00

Page 1295: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 9,565.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 0

100.00 6

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,131.00620.00200.00

1,100.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1296: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 3,051.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 2

20.00 1

50.00 3

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 260.0065.0060.00

6,355.002,400.00230.00140.00200.00

2,300.006,110.00

CREDIFACIL 1,200.00CREDIFACIL 2,300.00

0.000.000.000.00

Page 1297: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 21,620.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 0

20.00 27

50.00 98

100.00 8

EFECTIVO

CHEQUE BANPLUS 3,719.98

0.000.000.000.000.000.00

DEBITO/CREDITO 215.0030.00

900.003,900.00

0.000.000.000.000.000.000.000.000.000.000.00

Page 1298: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,045.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 2

5.00 0

10.00 0

20.00 205

50.00 30

100.00 43

EFECTIVO

CHEQUE DEL TESORO: 45000008 3,900.00

BNC 33,488.760.000.000.000.000.00

DEBITO/CREDITO 150.004,000.00200.00

1,400.00130.00300.0070.00

1,000.00700.00

JORTIN 330.00RET. ALCALDIA 262.14

0.000.000.00

Page 1299: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,542.14DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 9,810.0070.000.000.000.000.000.000.000.000.000.000.000.00

Page 1300: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,880.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 15

20.00 54

50.00 91

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 150.003,000.004,100.00

0.000.000.000.000.000.000.000.000.00

Page 1301: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,250.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 4

20.00 230

50.00 142

100.00 25

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 150.00300.00140.00

1,115.00560.00230.00240.00350.00390.00550.00340.00

Page 1302: cuadre daniela.xlsx

COMIDA YETZANDER 60.00FACT. ZOOM 155.40

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,580.40DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 3

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 400.00890.00

1.00140.00

1,145.00credifacil 4,725.00

7,200.005,200.00

0.000.00

Page 1303: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 19,701.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 41

20.00 2

50.00 17

100.00 15

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 130.003,310.007,500.00500.00140.00400.00

1,550.00200.00

0.00

Page 1304: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 13,730.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 0

5.00 3

10.00 1

20.00 0

50.00 1

100.00 6

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 550.002,850.00260.00230.00120.00

6,255.00350.00

0.00

Page 1305: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,615.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 3

EFECTIVO

CHEQUE

DEL SUR 1,560.00BNC 10,037.50

0.000.000.000.000.00

DEBITO/CREDITO 70.00150.00

0.000.000.000.000.00

Page 1306: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 220.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 6

20.00 7

50.00 5

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 780.00495.00400.0045.00

350.000.00

Page 1307: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,070.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 4

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,520.00250.00300.00760.00370.00

Page 1308: cuadre daniela.xlsx

130.00820.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,150.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 5

20.00 1

50.00 25

100.00 18

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 400.00380.00

1,800.0080.00

Page 1309: cuadre daniela.xlsx

660.00350.00110.00120.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,900.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 16

20.00 9

50.00 156

100.00 45

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 250.001,190.00150.00

Page 1310: cuadre daniela.xlsx

5,000.00870.00475.00360.00150.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,445.00DEPOSITOS

TOTAL ENTREGADO

Page 1311: cuadre daniela.xlsx

12/1/2012total0.00

0.00

5.00

0.00

0.00

50.00

0.00

55.00

0.00

30,180.000.00

Page 1312: cuadre daniela.xlsx

30,235.00

12/2/2012total1.00

4.00

0.00

0.00

0.00

1,250.00

700.00

1,955.00

0.00

6,260.00

Page 1313: cuadre daniela.xlsx

0.00

8,215.00

12/5/2012total0.00

0.00

0.00

30.00

0.00

1,250.00

100.00

1,380.00

26,462.52

Page 1314: cuadre daniela.xlsx

2,560.000.00

30,402.52

12/6/2012total0.00

0.00

0.00

10.00

80.00

0.00

0.00

90.00

0.00

Page 1315: cuadre daniela.xlsx

0.000.00

90.00

12/7/2012total0.00

0.00

20.00

30.00

20.00

0.00

0.00

70.00

0.00

Page 1316: cuadre daniela.xlsx

5,230.000.00

5,300.00

12/8/2012total0.00

0.00

0.00

10.00

1,120.00

100.00

700.00

1,930.00

0.00

Page 1317: cuadre daniela.xlsx

5,140.000.00

7,070.00

12/9/2012total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Page 1318: cuadre daniela.xlsx

9,565.000.00

9,565.00

12/10/2012total0.00

0.00

0.00

20.00

20.00

0.00

600.00

640.00

0.00

Page 1319: cuadre daniela.xlsx

3,051.000.00

3,691.00

12/11/2012total0.00

0.00

5.00

20.00

20.00

150.00

0.00

195.00

0.00

Page 1320: cuadre daniela.xlsx

21,620.000.00

21,815.00

12/12/2012total0.00

4.00

0.00

0.00

540.00

4,900.00

800.00

6,244.00

3,719.98

Page 1321: cuadre daniela.xlsx

5,045.000.00

15,008.98

12/13/2012total1.00

4.00

0.00

0.00

4,100.00

1,500.00

4,300.00

9,905.00

37,388.76

Page 1322: cuadre daniela.xlsx

8,542.140.00

55,835.90

12/14/2012total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Page 1323: cuadre daniela.xlsx

9,880.000.00

9,880.00

12/15/2012total0.00

0.00

0.00

150.00

1,080.00

4,550.00

0.00

5,780.00

0.00

Page 1324: cuadre daniela.xlsx

7,250.000.00

13,030.00

12/17/2012total0.00

0.00

5.00

40.00

4,600.00

7,100.00

2,500.00

14,245.00

0.00

Page 1325: cuadre daniela.xlsx

4,580.400.00

18,825.40

12/18/2012total0.00

0.00

0.00

20.00

0.00

150.00

0.00

170.00

0.00

Page 1326: cuadre daniela.xlsx

19,701.000.00

19,871.00

12/19/2012total0.00

0.00

0.00

410.00

40.00

850.00

1,500.00

2,800.00

0.00

Page 1327: cuadre daniela.xlsx

13,730.000.00

16,530.00

12/20/2012total1.00

0.00

15.00

10.00

0.00

50.00

600.00

676.00

0.00

Page 1328: cuadre daniela.xlsx

10,615.000.00

11,291.00

12/21/2012total0.00

0.00

0.00

0.00

0.00

0.00

300.00

300.00

11,597.50

Page 1329: cuadre daniela.xlsx

220.000.00

12,117.50

12/22/2012total0.00

0.00

0.00

60.00

140.00

250.00

0.00

450.00

0.00

Page 1330: cuadre daniela.xlsx

2,070.000.00

2,520.00

12/23/2012total0.00

0.00

0.00

10.00

80.00

0.00

0.00

90.00

0.00

Page 1331: cuadre daniela.xlsx

5,150.000.00

5,240.00

12/26/2012total0.00

0.00

0.00

50.00

20.00

1,250.00

1,800.00

3,120.00

0.00

Page 1332: cuadre daniela.xlsx

3,900.000.00

7,020.00

12/27/2012total0.00

0.00

0.00

160.00

180.00

7,800.00

4,500.00

12,640.00

0.00

Page 1333: cuadre daniela.xlsx

8,445.000.00

21,085.00

Page 1334: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 2

2.00 1

5.00 3

10.00 5

20.00 3

50.00 12

100.00 34

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 260.001,800.00300.0040.00350.00150.00250.00950.00300.00450.00600.00

1,130.00185.00

1,145.0040.00360.00285.00

3,030.00470.00

VIATICOS EDHER 200.000.000.00

DEBITOS Y/O CREDITO 12,295.00DEPOSITOS

Page 1335: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 5

20.00 14

50.00 81

100.00 46

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,925.00820.00

6,605.00380.00380.00120.00690.00100.00600.00

7,480.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 20,100.00

Page 1336: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 52

20.00 114

50.00 34

100.00 92

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 670.00380.0080.00

7,240.0015.00600.00

1,495.002,615.001,850.001,131.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1337: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 16,076.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE CORP BANCA 28000349 14,210.00

0.000.000.000.000.000.00

DEBITO/CREDITO 515.00250.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1338: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 765.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 3

50.00 14

100.00 28

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 420.00150.00150.00

1,850.001,850.001,000.001,850.00140.00450.00300.00

0.000.000.000.000.000.000.000.000.000.00

Page 1339: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 8,160.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 0

20.00 1

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 400.00630.00

1,145.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1340: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 2,175.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 26

20.00 26

50.00 5

100.00 27

EFECTIVO

CHEQUE BANESCO: 30701149 6,852.89

0.000.000.000.000.000.00

DEBITO/CREDITO 680.00420.00300.00

1,000.001,660.00300.00450.00

RET. ALCALDIA 56.640.000.000.000.000.000.000.000.000.000.00

Page 1341: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 4,866.64DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 12

100.00 2

EFECTIVO

CHEQUE VENEZUELA 1,750.00

0.000.000.000.000.000.00

DEBITO/CREDITO 260.0080.00

7,030.001,440.00390.00120.00

2,500.00120.00345.00800.00

0.000.000.000.000.000.000.00

Page 1342: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 13,085.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 0

50.00 108

100.00 78

EFECTIVO

CHEQUE

BANESCO: 39701153 6,405.74BNC: 29600103 1,103.57

0.000.000.000.000.00

DEBITO/CREDITO 0.00ALCALDIA 50.14

1,140.00420.00600.00305.00420.00500.00380.00

CREDIFACIL:33428006 7,550.00RET. IVA 140.63

0.000.000.000.000.00

Page 1343: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,505.77DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 1

5.00 0

10.00 2

20.00 100

50.00 125

100.00 108

EFECTIVO

CHEQUE GUAYANA: 48031962 6,100.00

0.000.000.000.000.000.00

DEBITO/CREDITO 3,100.00495.00

9,900.00250.00140.00220.00

5,555.00600.00690.00

1,000.00510.00

2,555.00120.00260.00

3,600.00

Page 1344: cuadre daniela.xlsx

1,180.0045.0065.0065.00110.00

CREDI COMPRA 7,000.00CREDI COMPRA 6,500.00

ANDRY 1,000.00TAXI DOFRAN 80.00

DEV. FAC.: 81166 660.00DEV. FAC.: 81135 495.21COMIDA DORFRA 70.00

FACT AGUA 100.00DEBITOS Y/O CREDITO 46,365.21

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 0

20.00 5

50.00 0

100.00 8

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 400.0030.00

2,215.00150.00350.00600.00830.00

DEV. FACT: 80772 140.00

Page 1345: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,715.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 3

50.00 3

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 300.00300.00300.00

1,230.00380.00400.00

Page 1346: cuadre daniela.xlsx

230.00800.0080.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,020.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 2

5.00 1

10.00 2

20.00 5

50.00 7

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 170.00220.00

1,150.00850.00

Page 1347: cuadre daniela.xlsx

600.00160.00150.00

5,360.00170.00600.00400.00

2,755.0070.00

FACT: 8575 210.00DEV. FACT: 81446 1,500.00PRIMO FACTURA 10.00

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,375.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 380.001,800.00

Page 1348: cuadre daniela.xlsx

65.0065.00770.00120.00

1,260.0090.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,550.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 1

20.00 1

50.00 1

100.00 12

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

Page 1349: cuadre daniela.xlsx

DEBITO/CREDITO 145.00312.5050.00562.50287.50150.0093.76

1,875.00387.50287.50

FACT AGUA 50.00FACT COMIDA DORFRAN 78.00

TAXI DORFRAN 80.00ROGER 70.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,429.26DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 10

100.00 21

EFECTIVO

CHEQUE 0.000.000.000.000.00

Page 1350: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 612.51350.00537.50450.0062.50

1,112.50550.0070.00812.5030.00

FACT: SUILVIDAD 300.00FACT: 023920 109.00

FACT AGUA 50.00FACT COMIDA 78.00

MARITZA 90.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,214.51DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 1

50.00 1

100.00 0

EFECTIVO

CHEQUE

bnc: 14602748 6,487.880.000.000.00

Page 1351: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 690.0065.00210.00530.00

ret. Alcaldia 50.790.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,545.79DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 52

50.00 0

100.00 3

EFECTIVO

CHEQUE 0.000.000.00

Page 1352: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 190.002,130.00

30.0040.00130.00190.00500.00810.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,020.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE MERCANTIL: 77712707 4,430.19

0.00

Page 1353: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 440.00360.00250.0065.00100.00

RET. ALCALDIA 34.68IVA + RET. ALCALDIA 483.58

190.00TAXI 80.00

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,003.26DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 69

20.00 1

50.00 2

100.00 8

EFECTIVO

CHEQUE 0.00

Page 1354: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 1,880.001,940.00980.00580.00800.00190.00150.0065.00

comida yetzander 77.00130.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,792.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 47

20.00 49

50.00 36

100.00 13

EFECTIVO

CHEQUE

Page 1355: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00andry 50.00

comida dorfran 80.00fact edher 75938 55.00

250.001,600.0011,600.00

700.0060.00390.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,785.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 1

50.00 7

100.00 13

EFECTIVO

Page 1356: cuadre daniela.xlsx

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 440.00150.0065.00100.00460.00190.00460.00480.00690.00150.00480.00

RET. ALCALDIA 78.570.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,743.57DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 8

50.00 0

100.00 0

Page 1357: cuadre daniela.xlsx

EFECTIVO

CHEQUE CARONI: 00000809 9,800.00

0.000.000.000.000.000.00

DEBITO/CREDITO 65.003,630.00390.00

1,020.00460.00

1,690.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,255.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 3

50.00 14

Page 1358: cuadre daniela.xlsx

100.00 5

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 530.00460.00

1,200.00150.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,340.00DEPOSITOS

TOTAL ENTREGADO

Page 1359: cuadre daniela.xlsx

1/2/2013total2.00

2.00

15.00

50.00

60.00

600.00

3,400.00

4,129.00

0.00

12,295.000.00

Page 1360: cuadre daniela.xlsx

16,424.00

1/3/2013total0.00

0.00

5.00

50.00

280.00

4,050.00

4,600.00

8,985.00

0.00

20,100.00

Page 1361: cuadre daniela.xlsx

0.00

29,085.00

1/4/2013total0.00

0.00

0.00

520.00

2,280.00

1,700.00

9,200.00

13,700.00

0.00

Page 1362: cuadre daniela.xlsx

16,076.000.00

29,776.00

1/5/2013total0.00

0.00

0.00

10.00

0.00

0.00

0.00

10.00

14,210.00

Page 1363: cuadre daniela.xlsx

765.000.00

14,985.00

1/7/2013total0.00

0.00

0.00

20.00

60.00

700.00

2,800.00

3,580.00

0.00

Page 1364: cuadre daniela.xlsx

8,160.000.00

11,740.00

1/8/2013total0.00

0.00

5.00

0.00

20.00

0.00

0.00

25.00

0.00

Page 1365: cuadre daniela.xlsx

2,175.000.00

2,200.00

1/9/2013total0.00

0.00

5.00

260.00

520.00

250.00

2,700.00

3,735.00

6,852.89

Page 1366: cuadre daniela.xlsx

4,866.640.00

15,454.53

1/10/2013total0.00

0.00

0.00

0.00

0.00

600.00

200.00

800.00

1,750.00

Page 1367: cuadre daniela.xlsx

13,085.000.00

15,635.00

1/11/2013total0.00

0.00

0.00

40.00

0.00

5,400.00

7,800.00

13,240.00

7,509.31

Page 1368: cuadre daniela.xlsx

11,505.770.00

32,255.08

1/12/2013total1.00

2.00

0.00

20.00

2,000.00

6,250.00

10,800.00

19,073.00

6,100.00

Page 1369: cuadre daniela.xlsx

46,365.210.00

71,538.21

1/14/2013total0.00

0.00

10.00

0.00

100.00

0.00

800.00

910.00

0.00

Page 1370: cuadre daniela.xlsx

4,715.000.00

5,625.00

1/15/2013total0.00

0.00

0.00

10.00

60.00

150.00

300.00

520.00

0.00

Page 1371: cuadre daniela.xlsx

4,020.000.00

4,540.00

1/16/2013total1.00

4.00

5.00

20.00

100.00

350.00

700.00

1,180.00

0.00

Page 1372: cuadre daniela.xlsx

14,375.000.00

15,555.00

1/17/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Page 1373: cuadre daniela.xlsx

4,550.000.00

4,550.00

1/19/2013total0.00

4.00

0.00

10.00

20.00

50.00

1,200.00

1,284.00

0.00

Page 1374: cuadre daniela.xlsx

4,429.260.00

5,713.26

1/21/2013total0.00

0.00

0.00

0.00

0.00

500.00

2,100.00

2,600.00

0.00

Page 1375: cuadre daniela.xlsx

5,214.510.00

7,814.51

1/22/2013total0.00

0.00

0.00

10.00

20.00

50.00

0.00

80.00

6,487.88

Page 1376: cuadre daniela.xlsx

1,545.790.00

8,113.67

1/23/2013total0.00

0.00

0.00

0.00

1,040.00

0.00

300.00

1,340.00

0.00

Page 1377: cuadre daniela.xlsx

4,020.000.00

5,360.00

1/24/2013total0.00

0.00

0.00

20.00

0.00

0.00

0.00

20.00

4,430.19

Page 1378: cuadre daniela.xlsx

2,003.260.00

6,453.45

1/26/2013total0.00

2.00

0.00

690.00

20.00

100.00

800.00

1,612.00

0.00

Page 1379: cuadre daniela.xlsx

6,792.000.00

8,404.00

1/28/2013total0.00

0.00

20.00

470.00

980.00

1,800.00

1,300.00

4,570.00

0.00

Page 1380: cuadre daniela.xlsx

14,785.000.00

19,355.00

1/29/2013total0.00

0.00

0.00

0.00

20.00

350.00

1,300.00

1,670.00

Page 1381: cuadre daniela.xlsx

0.00

3,743.570.00

5,413.57

1/30/2013total0.00

0.00

0.00

20.00

160.00

0.00

0.00

Page 1382: cuadre daniela.xlsx

180.00

9,800.00

7,255.000.00

17,235.00

1/31/2013total0.00

0.00

0.00

10.00

60.00

700.00

Page 1383: cuadre daniela.xlsx

500.00

1,270.00

0.00

2,340.000.00

3,610.00

Page 1384: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 10

20.00 24

50.00 1

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 160.001,170.00710.00

1,440.00510.00

1,500.00750.0080.00

fact agua 50.00roger (lo paga el lunes) 78.00

dorfran comida 78.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,526.00DEPOSITOS

Page 1385: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 2

50.00 10

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 250.0011,200.00

310.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,760.00

Page 1386: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 1

10.00 0

20.00 0

50.00 1

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 95.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1387: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 95.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 6

10.00 1

20.00 4

50.00 0

100.00 15

EFECTIVO

CHEQUE bicentenario 3,972.87

0.000.000.000.000.000.00

DEBITO/CREDITO 60.00500.00920.00

dev. Fact: 82369 500.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1388: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 1,980.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 8

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,440.00810.00300.0065.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1389: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 2,615.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 10

20.00 0

50.00 14

100.00 2

EFECTIVO

CHEQUE

BANESCO 81,303.76BNC 33,643.88

0.000.000.000.000.00

DEBITO/CREDITO 6,000.00RET ALCALDIA 21.43RET ALCALDIA 27.14RET ALCALDIA 62.86RET ALCALDIA 156.43RET ALCALDIA 106.93RET ALCALDIA 525.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1390: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 6,899.79DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE EXTERIOR 1,287.50EXTERIOR 1,728.82

0.000.000.000.000.00

DEBITO/CREDITO 0.00DEV. FACTURA 82615 0.00

DORFRAN 60.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1391: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 60.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 33

20.00 2

50.00 0

100.00 21

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00GUIA BANCARIA 50.00

COMIDA DORFRAN 300.00VIATICO OSMAN 200.00

VIATICO LEUFRAN 200.00130.00900.0030.0065.00780.00

DEV. FACTURA: 82510 80.00FACT: 88760 160.00

COMIDA DORFRAN 98.0070.00

DEV. COBRO: 85365 0.00taxi dorfran 70.00

0.00

Page 1392: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 3,133.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 25

20.00 0

50.00 11

100.00 20

EFECTIVO

CHEQUE

BNC:32600034 4,471.25CARONI: 49380135 10,000.00

0.000.000.000.000.00

DEBITO/CREDITO 0.00GUIA BANCARIA 150.00

ANDRY 60.00RET. ALCALDIA 35.00

30.00640.00

1,050.0030.00600.0030.0030.00200.00

15,000.001,330.00440.0065.00

Page 1393: cuadre daniela.xlsx

65.00390.0065.00210.00

0.000.00

DEBITOS Y/O CREDITO 20,420.00DEPOSITOS

TOTAL ENTREGADOPAGO DE 220 BSF DE FALTANTES DE CAJA

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 3

10.00 4

20.00 25

50.00 21

100.00 11

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00adelanto de 15 yexander 500.00FLETE SECADORA JORTIN 200.00

60.0030.00670.00780.00640.00

1,420.0065.0065.0065.00270.00

0.00

Page 1394: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,765.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 14

20.00 23

50.00 19

100.00 4

EFECTIVO

CHEQUE

EXTERIOR: 20-78018933 15,679.99BNC: 49604650 47,507.15PAGO TELEFONO 677.00

0.000.000.000.00

DEBITO/CREDITO 0.00LIMP. DE VIDRIOS MINITIEN. 30.00

RET. ALCALDIA 371.88ANDRY 60.00

110.0065.0095.00640.0090.000.000.000.000.00

Page 1395: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,461.88DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 0

5.00 1

10.00 1

20.00 16

50.00 21

100.00 16

EFECTIVO

CHEQUE EXTERIOR: 20-77667274 6,220.01

0.000.000.000.000.000.00

DEBITO/CREDITO 0.00andry 342.00

1,080.001,050.00470.00130.00150.00440.00

0.000.000.000.00

Page 1396: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,662.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 2

20.00 1

50.00 59

100.00 43

EFECTIVO

CHEQUE BICENTENARIO 2,355.40

RET. ALCALDIA 17.280.000.000.000.000.00

DEBITO/CREDITO 170.00140.00

1,280.00440.0080.00

1,020.00650.0090.0030.00

2,100.0080.00

Page 1397: cuadre daniela.xlsx

490.00FACT. 89117 160.00FACT. 02928 308.00

DEV. FACT:82812 200.00DEV. FACT:82836 700.00DEV.FACT: 82862 270.00

DEPOSITO 18027794 1,229.97OSMAN 100.00

TAXI DORFRAN 80.000.000.00

DEBITOS Y/O CREDITO 9,617.97DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 16

100.00 31

EFECTIVO

CHEQUE

MERCANTIL: 64698265 5,160.00FACT AGUA 125.00

0.000.000.000.000.00

DEBITO/CREDITO 320.00410.00190.00

11,170.00270.00580.0030.00

1,020.00150.00480.00

Page 1398: cuadre daniela.xlsx

320.0065.00780.0065.00620.00135.00980.0095.00900.00

1,820.0065.00

DEV. FACTURA 82878 80.00DEBITOS Y/O CREDITO 20,545.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 7

10.00 28

20.00 69

50.00 48

100.00 38

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,140.00170.00180.00

1,550.0095.0065.00

1,670.00620.00160.00

Page 1399: cuadre daniela.xlsx

1,620.00880.0030.00600.00970.0095.00520.00

5,678.000.000.000.000.000.00

DEBITOS Y/O CREDITO 16,043.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 2

2.00 0

5.00 1

10.00 5

20.00 6

50.00 23

100.00 25

EFECTIVO

CHEQUE CREDIFACIL 10,690.00

BNC: 12,592.50RET. IVA 58.66CHEQUE 8,184.52

RET. ALCALDIA 98.57ANDRY 410.00

0.00DEBITO/CREDITO 1,350.00

7,160.00350.00

1,190.002,560.00

30.0030.00980.00

Page 1400: cuadre daniela.xlsx

210.00120.00

1,480.00765.00900.0065.00240.00580.00540.0065.0080.00

1,060.00180.00

taxi dorfran 70.00DEBITOS Y/O CREDITO 20,005.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 5

20.00 10

50.00 3

100.00 26

EFECTIVO

CHEQUE

PROVINCIAL:00014354 3,480.040.000.000.000.000.000.00

DEBITO/CREDITO 440.00700.00180.00

FACT:4833 105.000.000.000.00

Page 1401: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,425.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 1

20.00 447

50.00 14

100.00 6

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 380.00530.00270.00

FACT COMIDA 349.000.000.00

Page 1402: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,529.00DEPOSITOS

TOTAL ENTREGADO

Page 1403: cuadre daniela.xlsx

2/2/2013total0.00

4.00

0.00

100.00

480.00

50.00

100.00

734.00

0.00

6,526.000.00

Page 1404: cuadre daniela.xlsx

7,260.00

2/4/2013total0.00

0.00

0.00

40.00

40.00

500.00

200.00

780.00

0.00

11,760.00

Page 1405: cuadre daniela.xlsx

0.00

12,540.00

2/5/2013total0.00

2.00

5.00

0.00

0.00

50.00

300.00

357.00

0.00

Page 1406: cuadre daniela.xlsx

95.000.00

452.00

2/6/2013total0.00

0.00

30.00

10.00

80.00

0.00

1,500.00

1,620.00

3,972.87

Page 1407: cuadre daniela.xlsx

1,980.000.00

7,572.87

2/7/2013total0.00

0.00

0.00

0.00

0.00

0.00

800.00

800.00

0.00

Page 1408: cuadre daniela.xlsx

2,615.000.00

3,415.00

2/8/2013total0.00

0.00

0.00

100.00

0.00

700.00

200.00

1,000.00

114,947.64

Page 1409: cuadre daniela.xlsx

6,899.790.00

122,847.43

2/14/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

3,016.32

Page 1410: cuadre daniela.xlsx

60.000.00

3,076.32

2/16/2013total0.00

0.00

0.00

330.00

40.00

0.00

2,100.00

2,470.00

0.00

Page 1411: cuadre daniela.xlsx

3,133.000.00

5,603.00

2/18/2013total0.00

0.00

5.00

250.00

0.00

550.00

2,000.00

2,805.00

14,471.25

Page 1412: cuadre daniela.xlsx

20,420.000.00

37,696.25

2/19/2013total0.00

0.00

15.00

40.00

500.00

1,050.00

1,100.00

2,705.00

0.00

Page 1413: cuadre daniela.xlsx

7290-

4,765.000.00

7,470.00

2/20/2013total0.00

0.00

5.00

140.00

460.00

950.00

400.00

1,955.00

63,864.14

67289

Page 1414: cuadre daniela.xlsx

1,461.880.00

67,281.02

2/21/2013total1.00

0.00

5.00

10.00

320.00

1,050.00

1,600.00

2,986.00

6,220.01

Page 1415: cuadre daniela.xlsx

3,662.000.00

12,868.01

2/22/2013total0.00

2.00

0.00

20.00

20.00

2,950.00

4,300.00

7,292.00

2,372.68

Page 1416: cuadre daniela.xlsx

9,617.970.00

19,282.65

2/23/2013total0.00

0.00

0.00

0.00

0.00

800.00

3,100.00

3,900.00

5,285.00

Page 1417: cuadre daniela.xlsx

20,545.000.00

29,730.00

2/25/2013total0.00

0.00

35.00

280.00

1,380.00

2,400.00

3,800.00

7,895.00

0.00

Page 1418: cuadre daniela.xlsx

16,043.000.00

23,938.00

2/26/2013total2.00

0.00

5.00

50.00

120.00

1,150.00

2,500.00

3,827.00

32,034.25

Page 1419: cuadre daniela.xlsx

20,005.000.00

55,866.25

2/27/2013total0.00

4.00

0.00

50.00

200.00

150.00

2,600.00

3,004.00

3,480.04

Page 1420: cuadre daniela.xlsx

1,425.000.00

7,909.04

2/28/2013total0.00

2.00

0.00

10.00

8,940.00

700.00

600.00

10,252.00

0.00

Page 1421: cuadre daniela.xlsx

1,529.000.00

11,781.00

Page 1422: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 73

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,120.00110.00410.00195.00

3,300.00155.0060.00

COMIDA DORFRAN 70.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,420.00DEPOSITOS

Page 1423: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 2

100.00 5

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 350.00150.00

dorfran 100.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 600.00

Page 1424: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 29

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 80.001,100.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1425: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 1,180.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 75

50.00 1

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 780.0095.00

270.00430.00640.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1426: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 2,215.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 2

20.00 44

50.00 9

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 80.00340.0050.00

110.00270.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1427: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 850.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 2

50.00 1

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 530.00580.00

1,080.00520.00

HAY 200BS DE DORFRAN 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1428: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 2,710.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 1

50.00 0

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 700.00740.00

8,660.00410.00

15,600.00440.00100.00

4,850.00250.00

0.000.000.000.000.000.000.000.000.00

Page 1429: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 31,750.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 7

20.00 8

50.00 1

100.00 2

EFECTIVO

CHEQUE BNC: 28600808 10,813.22

DEL SUR: 80000467 2,580.000.000.000.000.000.00

DEBITO/CREDITO 30.001,030.00110.00700.00

RET. ALC 64.28RET. ALC 20.35

0.000.000.000.000.000.000.000.000.000.000.00

Page 1430: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 1,954.63DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 15

50.00 81

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 160.00160.00

AGUA 100.00TAXI DORFRAN 100.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1431: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 520.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 2

50.00 0

100.00 11

EFECTIVO

CHEQUE BNC: 94600274 3,000.00

MERCANTIL: 16008617 1,900.000.000.000.000.000.00

DEBITO/CREDITO 1,000.00270.0060.0065.00

600.0060.00

480.000.000.000.000.000.000.000.000.00

Page 1432: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,535.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 0

20.00 26

50.00 0

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 600.00270.00

9,600.00FACT: 02947 65.00

0.000.000.000.000.000.000.000.000.000.00

Page 1433: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,535.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 0

20.00 1

50.00 3

100.00 1

EFECTIVO

CHEQUE

PRVINCIAL: 03581680 6,088.04BNC: 98600172 13,060.00

0.000.000.000.000.00

DEBITO/CREDITO 95.0060.0060.000.000.000.000.000.000.000.000.000.000.00

Page 1434: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 215.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 8

50.00 27

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,690.0065.0065.00

890.00COMIDA ROGER 65.00

GAULIZ 5.00TAXI DORFRAN 80.00

0.000.000.000.000.00

Page 1435: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,860.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 1

50.00 0

100.00 10

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.00

Page 1436: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 16

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 730.00140.00150.00165.00

COMIDA 80.001,000.00750.00

0.000.000.00

Page 1437: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,015.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00ROGER 200.00

190.00150.00600.00

7,410.000.000.000.00

Page 1438: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,550.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 1

50.00 2

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 190.00150.00600.00

7,410.000.000.000.000.00

Page 1439: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,350.00DEPOSITOS

TOTAL ENTREGADO

Page 1440: cuadre daniela.xlsx

3/1/2013total0.00

0.00

0.00

0.00

1,460.00

0.00

0.00

1,460.00

0.00

5,420.000.00

Page 1441: cuadre daniela.xlsx

6,880.00

3/4/2013total0.00

0.00

0.00

10.00

0.00

100.00

500.00

610.00

0.00

600.00

Page 1442: cuadre daniela.xlsx

0.00

1,210.00

3/5/2013total0.00

0.00

0.00

10.00

580.00

0.00

0.00

590.00

0.00

Page 1443: cuadre daniela.xlsx

1,180.000.00

1,770.00

3/9/2013total0.00

0.00

0.00

10.00

1,500.00

50.00

0.00

1,560.00

0.00

Page 1444: cuadre daniela.xlsx

2,215.000.00

3,775.00

3/11/2013total0.00

0.00

10.00

20.00

880.00

450.00

300.00

1,660.00

0.00

Page 1445: cuadre daniela.xlsx

850.000.00

2,510.00

3/12/2013total0.00

0.00

0.00

0.00

40.00

50.00

0.00

90.00

0.00

Page 1446: cuadre daniela.xlsx

2,710.000.00

2,800.00

3/13/2013total0.00

0.00

0.00

10.00

20.00

0.00

200.00

230.00

0.00

Page 1447: cuadre daniela.xlsx

31,750.000.00

31,980.00

3/14/2013total0.00

0.00

10.00

70.00

160.00

50.00

200.00

490.00

13,393.22

Page 1448: cuadre daniela.xlsx

1,954.630.00

15,837.85

3/16/2013total0.00

0.00

0.00

20.00

300.00

4,050.00

100.00

4,470.00

0.00

Page 1449: cuadre daniela.xlsx

520.000.00

4,990.00

3/18/2013total0.00

0.00

0.00

30.00

40.00

0.00

1,100.00

1,170.00

4,900.00

Page 1450: cuadre daniela.xlsx

2,535.000.00

8,605.00

3/19/2013total0.00

0.00

5.00

0.00

520.00

0.00

200.00

725.00

0.00

Page 1451: cuadre daniela.xlsx

10,535.000.00

11,260.00

3/20/2013total0.00

2.00

0.00

0.00

20.00

150.00

100.00

272.00

19,148.04

Page 1452: cuadre daniela.xlsx

215.000.00

19,635.04

3/23/2013total0.00

0.00

0.00

20.00

160.00

1,350.00

300.00

1,830.00

0.00

Page 1453: cuadre daniela.xlsx

3,860.000.00

5,690.00

3/25/2013total0.00

0.00

0.00

0.00

20.00

0.00

1,000.00

1,020.00

0.00

Page 1454: cuadre daniela.xlsx

0.000.00

1,020.00

3/26/2013total0.00

0.00

0.00

0.00

0.00

800.00

0.00

800.00

0.00

Page 1455: cuadre daniela.xlsx

3,015.000.00

3,815.00

3/27/2013total0.00

0.00

0.00

0.00

0.00

0.00

200.00

200.00

0.00

Page 1456: cuadre daniela.xlsx

8,550.000.00

8,750.00

3/27/2013total0.00

0.00

0.00

10.00

20.00

100.00

0.00

130.00

0.00

Page 1457: cuadre daniela.xlsx

8,350.000.00

8,480.00

Page 1458: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 3

5.00 2

10.00 16

20.00 2

50.00 38

100.00 18

EFECTIVO

CHEQUE

CARONI: 00047452 47,486.49VENEZUELA: 83723661 520.00

0.000.000.000.000.00

DEBITO/CREDITO 110.001,030.00410.00170.0060.0095.00160.00410.00100.00

1,350.00650.00

CREDI FACIL 10,530.00DEV. FACTURA: 84131 550.00

taxi dorfran 80.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 15,705.00DEPOSITOS

Page 1459: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 7

20.00 0

50.00 10

100.00 32

EFECTIVO

CHEQUE DEL SUR 4,180.00

0.000.000.000.000.000.00

DEBITO/CREDITO 65.0065.00

7,840.0065.00330.00

6,000.001,030.001,020.0012,300.001,350.003,720.00

65.0030.00100.0065.00550.00240.00

1,350.00110.00

TAXI DORFRAN 80.00COMIDA CONSULTORIA 200.00

0.00DEBITOS Y/O CREDITO 36,575.00

Page 1460: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 0

50.00 31

100.00 19

EFECTIVO

CHEQUE

BNC: 71602972 14,599.990.000.000.000.000.000.00

DEBITO/CREDITO 30.002,100.00530.00

DORFRAN TAXI 80.00RET. ALCALDIA 114.29

DORFRAN 100.000.000.000.000.000.000.000.000.000.000.000.000.000.00

TAXI DORFRAN 0.00COMIDA CONSULTORIA 0.00

0.00

Page 1461: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 2,954.29DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 23

100.00 8

EFECTIVO

CHEQUE BICENTENARIO: 00002436 13,254.99

0.000.000.000.000.000.00

DEBITO/CREDITO 0.00ANDRY 100.00

DORFRAN TAXI 80.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

TAXI DORFRAN 0.00COMIDA CONSULTORIA 0.00

Page 1462: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 180.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 130.00130.00105.00

taxi dorfran 80.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1463: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 445.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 4

50.00 0

100.00 15

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 290.0065.00

taxi dorfran 80.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1464: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 435.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 6

20.00 6

50.00 8

100.00 66

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,945.003,120.001,030.001,440.00270.00360.00

taxi dorfran 80.000.000.000.000.000.000.000.000.000.000.000.00

Page 1465: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 8,245.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 8

100.00 15

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 300.001,020.00330.00

taxi dofran 80.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1466: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 1,730.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 3

50.00 4

100.00 13

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,550.001,020.00540.00220.00

jortin 500.000.000.000.000.000.000.000.000.000.000.000.00

Page 1467: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,830.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 1

20.00 6

50.00 0

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 130.005,430.00780.00

1,100.00410.00

0.000.000.000.000.000.000.000.000.000.00

Page 1468: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,850.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 2

20.00 1

50.00 0

100.00 3

EFECTIVO

CHEQUE EXTRA CREDITO BANESCO 7,500.00

0.000.000.000.000.000.00

DEBITO/CREDITO 600.00270.00

3,610.008,000.0015,440.00

500.00150.00

2,700.008,000.004,500.00

FACTURA COMIDA RICHAR 65.000.000.000.00

Page 1469: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 43,835.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 2

50.00 9

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 160.004,200.004,600.001,580.00270.00

dorfran 200.000.000.000.000.000.000.000.00

Page 1470: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,010.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 1

100.00 4

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,020.000.000.000.000.000.000.000.000.000.000.000.00

Page 1471: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,020.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 2

5.00 4

10.00 2

20.00 0

50.00 1

100.00 16

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,000.00600.00150.00

0.000.000.000.000.000.000.000.00

Page 1472: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,750.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 33

20.00 39

50.00 95

100.00 33

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 780.00270.00650.00

3,050.00540.00700.00350.00

1,120.000.000.00

Page 1473: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,460.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 1

100.00 3

EFECTIVO

CHEQUE EXTERIOR 7,665.00

0.000.000.000.000.000.00

DEBITO/CREDITO 780.005,000.004,000.005,300.00780.00

1,520.001,670.00300.00

1,350.00

Page 1474: cuadre daniela.xlsx

RET. ALCALDIA 60.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 20,760.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 3

2.00 6

5.00 12

10.00 0

20.00 0

50.00 15

100.00 30

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 270.0065.00410.00280.00550.00410.00280.00

Page 1475: cuadre daniela.xlsx

190.00780.00

dev. Factura: 84827 280.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,515.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 3

5.00 1

10.00 1

20.00 0

50.00 24

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 500.00570.00

1,050.00ADRYANNY 100.00

0.000.00

Page 1476: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,220.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 1

20.00 1

50.00 7

100.00 13

EFECTIVO

CHEQUE BANESCO: 30455083 4,750.00

MERCANTIL: 74403957 19,971.79BNC: 15002749 14,000.00

CARONI: 00299566 4,450.000.000.000.00

DEBITO/CREDITO 670.004,850.00520.00550.00540.00

Page 1477: cuadre daniela.xlsx

1,760.00460.00

1,300.00RET. ALCALDIA 114.29RET. ALCALDIA 35.71LUIS PORTILLO 50.00

COBRO FACTURA: 65056 750.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,600.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 3

20.00 102

50.00 8

100.00 15

EFECTIVO

CHEQUE

DEL SUR: 36002931 11,200.000.000.000.000.000.000.00

DEBITO/CREDITO 510.007,500.001,130.001,480.00

Page 1478: cuadre daniela.xlsx

200.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,820.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 3

100.00 11

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,480.00130.0090.00

Page 1479: cuadre daniela.xlsx

3,370.0065.00780.0065.00390.00

1,950.00DEV. FACTURA: 85018 400.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,720.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 1

50.00 5

100.00 1

EFECTIVO

CHEQUE mercantil: 23103963 1,960.00

0.000.000.000.000.000.00

DEBITO/CREDITO 780.00

Page 1480: cuadre daniela.xlsx

780.00300.00860.00130.0095.00

1,190.00780.00

JORTIN 200.00GAULIZ 20.00

dev. Factura: 85074 120.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,255.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 20

20.00 0

50.00 0

100.00 2

EFECTIVO

CHEQUE del sur: 38000056 2,000.00

deposito banco venezuela 12,570.000.000.000.000.000.00

Page 1481: cuadre daniela.xlsx

DEBITO/CREDITO 1,000.00250.00

rossy 150.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,400.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 3

2.00 1

5.00 3

10.00 26

20.00 34

50.00 31

100.00 14

EFECTIVO

CHEQUE 0.000.000.000.000.000.00

Page 1482: cuadre daniela.xlsx

0.00DEBITO/CREDITO 1,560.00

650.00600.00

3,050.00500.00600.00480.00600.00780.00

1,130.0030.00140.00

3,830.0065.00780.00140.00

FACT. AGUA 90.00DORFRAN 100.00

0.000.000.000.00

DEBITOS Y/O CREDITO 15,125.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 19

20.00 20

50.00 21

100.00 7

EFECTIVO

CHEQUE banesco: 14067574 320.00

0.000.000.000.00

Page 1483: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 680.00260.00520.00850.00260.00390.00660.00410.00110.00

1,670.00dev. Factura: 85170 1,130.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,940.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 5

2.00 0

5.00 1

10.00 10

20.00 55

50.00 49

100.00 27

EFECTIVO

CHEQUE

bnc: 55600993 2,326.69bnc: 68600994 2,828.75

ret. Alcaldia 22.14

ret. Alcaldia 8.93

Page 1484: cuadre daniela.xlsx

ret. Alcaldia 9.14

transferencia 1,500.000.00

DEBITO/CREDITO 95.00840.0090.00

1,000.00270.00

1,670.0095.00725.00

1,440.00170.00780.00

1,320.00factura: 056857 75.00

andry 5.00jortin 12,000.00

adriannys 10.00andry 150.00

juan-roger taxi 80.00dorfran taxi 80.00

dorfran 200.000.000.00

DEBITOS Y/O CREDITO 21,095.00DEPOSITOS

TOTAL ENTREGADO

Page 1485: cuadre daniela.xlsx

4/1/2013total0.00

6.00

10.00

160.00

40.00

1,900.00

1,800.00

3,916.00

48,006.49

15,705.000.00

Page 1486: cuadre daniela.xlsx

67,627.49

4/2/2013total0.00

0.00

20.00

70.00

0.00

500.00

3,200.00

3,790.00

4,180.00

36,575.00

Page 1487: cuadre daniela.xlsx

0.00

44,545.00

4/3/2013total0.00

0.00

0.00

30.00

0.00

1,550.00

1,900.00

3,480.00

14,599.99

Page 1488: cuadre daniela.xlsx

2,954.290.00

21,034.28

4/4/2013total0.00

0.00

0.00

0.00

0.00

1,150.00

800.00

1,950.00

13,254.99

Page 1489: cuadre daniela.xlsx

180.000.00

15,384.99

4/5/2013total0.00

0.00

0.00

40.00

0.00

0.00

0.00

40.00

0.00

Page 1490: cuadre daniela.xlsx

445.000.00

485.00

4/6/2013total0.00

0.00

0.00

10.00

80.00

0.00

1,500.00

1,590.00

0.00

Page 1491: cuadre daniela.xlsx

435.000.00

2,025.00

4/8/2013total0.00

0.00

0.00

60.00

120.00

400.00

6,600.00

7,180.00

0.00

Page 1492: cuadre daniela.xlsx

8,245.000.00

15,425.00

4/9/2013total0.00

0.00

0.00

0.00

0.00

400.00

1,500.00

1,900.00

0.00

Page 1493: cuadre daniela.xlsx

1,730.000.00

3,630.00

4/10/2013total0.00

0.00

0.00

10.00

60.00

200.00

1,300.00

1,570.00

0.00

Page 1494: cuadre daniela.xlsx

3,830.000.00

5,400.00

4/11/2013total0.00

0.00

10.00

10.00

120.00

0.00

100.00

240.00

0.00

Page 1495: cuadre daniela.xlsx

7,850.000.00

8,090.00

4/12/2013total0.00

0.00

5.00

20.00

20.00

0.00

300.00

345.00

7,500.00

Page 1496: cuadre daniela.xlsx

43,835.000.00

51,680.00

4/13/2013total0.00

0.00

0.00

0.00

40.00

450.00

200.00

690.00

0.00

Page 1497: cuadre daniela.xlsx

11,010.000.00

11,700.00

4/15/2013total0.00

0.00

0.00

20.00

0.00

50.00

400.00

470.00

0.00

Page 1498: cuadre daniela.xlsx

1,020.000.00

1,490.00

4/16/2013total0.00

4.00

20.00

20.00

0.00

50.00

1,600.00

1,694.00

0.00

Page 1499: cuadre daniela.xlsx

2,750.000.00

4,444.00

4/17/2013total0.00

0.00

0.00

330.00

780.00

4,750.00

3,300.00

9,160.00

0.00

Page 1500: cuadre daniela.xlsx

7,460.000.00

16,620.00

4/18/2013total0.00

0.00

0.00

20.00

20.00

50.00

300.00

390.00

7,665.00

Page 1501: cuadre daniela.xlsx

20,760.000.00

28,815.00

4/19/2013total3.00

12.00

60.00

0.00

0.00

750.00

3,000.00

3,825.00

0.00

Page 1502: cuadre daniela.xlsx

3,515.000.00

7,340.00

4/20/2013total0.00

6.00

5.00

10.00

0.00

1,200.00

700.00

1,921.00

0.00

Page 1503: cuadre daniela.xlsx

2,220.000.00

4,141.00

4/22/2013total0.00

0.00

5.00

10.00

20.00

350.00

1,300.00

1,685.00

43,171.79

Page 1504: cuadre daniela.xlsx

11,600.000.00

56,456.79

4/23/2013total0.00

0.00

20.00

30.00

2,040.00

400.00

1,500.00

3,990.00

11,200.00

Page 1505: cuadre daniela.xlsx

10,820.000.00

26,010.00

4/24/2013total0.00

0.00

0.00

0.00

0.00

150.00

1,100.00

1,250.00

0.00

Page 1506: cuadre daniela.xlsx

8,720.000.00

9,970.00

4/25/2013total0.00

0.00

0.00

10.00

20.00

250.00

100.00

380.00

1,960.00

Page 1507: cuadre daniela.xlsx

5,255.000.00

7,595.00

4/26/2013total0.00

0.00

5.00

200.00

0.00

0.00

200.00

405.00

14,570.00

Page 1508: cuadre daniela.xlsx

1,400.000.00

16,375.00

4/27/2013total3.00

2.00

15.00

260.00

680.00

1,550.00

1,400.00

3,910.00

0.00

Page 1509: cuadre daniela.xlsx

15,125.000.00

19,035.00

4/29/2013total0.00

0.00

5.00

190.00

400.00

1,050.00

700.00

2,345.00

320.00

Page 1510: cuadre daniela.xlsx

6,940.000.00

9,605.00

4/30/2013total5.00

0.00

5.00

100.00

1,100.00

2,450.00

2,700.00

6,360.00

6,695.65

Page 1511: cuadre daniela.xlsx

21,095.000.00

34,150.65

Page 1512: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 5

5.00 3

10.00 8

20.00 28

50.00 10

100.00 14

EFECTIVO

CHEQUE

andry 219.000.000.000.000.000.000.00

DEBITO/CREDITO 215.00230.00

1,100.00500.0070.00400.00

2,220.001,050.00150.00650.00170.00

juan-roger taxi 80.00dorfran taxi 80.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,915.00DEPOSITOS

Page 1513: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 7

5.00 0

10.00 38

20.00 18

50.00 40

100.00 0

EFECTIVO

CHEQUE CORP BANCA:74004805 9,371.36

EXTERIOR:31-77838472 4,004.02EXTERIOR:76-79217482 8,887.79

RET.ALCALDIA 73.36

RET.ALCALDIA 69.57RET.ALCALDIA 24.00

0.00DEBITO/CREDITO 120.00

780.00500.00

1,120.00500.00950.00

1,180.002,670.00320.00160.00

1,000.001,020.00

FACT. MEDICINAS 100.00FACT. GUANTES 180.00

PRESTAMO DORFRAN 2,000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 12,600.00

Page 1514: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 2

5.00 72

10.00 5

20.00 0

50.00 135

100.00 6

EFECTIVO

CHEQUE

DEBITO-CREDITO 60.00200.00

1,910.00

FACTURA AGUA 120.00OSCAR 200.00

DESTORNILLADOR 30.00

ROSSY LOS PAGA EL LUNES 6-04-2013 200.00DEBITO/CREDITO 780.00

8,000.0090.00780.00

1,675.00780.00

1,160.00920.00970.00190.00650.00170.00250.0065.00250.00

1,120.0065.0060.00140.00200.00

DEV. FACTURA 85442 120.00440.00

Page 1515: cuadre daniela.xlsx

1,160.00DEBITOS Y/O CREDITO 20,035.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 1

5.00 1

10.00 5

20.00 12

50.00 33

100.00 2

EFECTIVO 0.00

CHEQUE 0.00andry abono camisas 880.00

1er corte en efectivo a las 4:19pm 25,000.000.000.000.000.000.00

DEBITO/CREDITO 4,400.00780.0030.00600.00130.00780.00

8,990.00320.00

1,120.00230.00

1,540.001,100.00570.0065.00780.00160.00

COMIDA JUAN CARLOS 58.000.000.000.00

Page 1516: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 21,653.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 16

100.00 23

EFECTIVO 0.00

CHEQUE 0.00corbanca: 05000145 10,199.99

RET. IVA 357.59

RET. ALCALDIA 29.800.000.000.000.00

DEBITO/CREDITO 65.001,620.00

65.00280.0090.00100.0065.0060.00630.00420.0065.00780.0030.00270.00

0.000.000.000.00

Page 1517: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 4,540.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 3

5.00 2

10.00 4

20.00 32

50.00 12

100.00 14

EFECTIVO 0.00

CHEQUE 0.00

andry 1,408.000.000.000.000.000.000.00

DEBITO/CREDITO 810.0090.00

2,120.00570.00150.0060.00250.00

1,545.00160.00

3,540.001,300.00

DEV. FACTURA:85674 3,540.000.000.000.000.00

Page 1518: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,135.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 5

50.00 16

100.00 21

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 210.00160.00420.00

2,100.001,280.001,830.00660.00180.00125.00

1,300.00130.00

DEV. FACT: 85700 920.000.000.00

Page 1519: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,315.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 6

10.00 5

20.00 7

50.00 22

100.00 18

EFECTIVO 0.00

CHEQUE 0.00caroni:00017826 920.00

deposito: 013050827040127 11,311.610.000.000.000.000.00

DEBITO/CREDITO 60.001,020.001,100.001,280.00260.00200.0065.0065.00270.00120.00

dev. Factura:85750 130.000.00

Page 1520: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,570.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 3

2.00 1

5.00 0

10.00 6

20.00 31

50.00 31

100.00 17

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 550.001,180.001,670.004,230.00

65.001,180.001,020.003,750.00320.00

1,670.00

Page 1521: cuadre daniela.xlsx

8,710.00160.00

1,300.00210.00300.00

fact comida juan carlos 70.00andry 150.00

comida dorfran 80.000.000.000.000.000.00

DEBITOS Y/O CREDITO 26,615.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 10

100.00 4

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.0065.00490.00510.00170.0030.00

dev. Factura: 85522 620.000.00

Page 1522: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,795.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 4

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 270.0065.00620.00

0.000.000.00

Page 1523: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 955.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,980.0040.00

1,300.00170.00

Page 1524: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,490.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 210.00100.00

Page 1525: cuadre daniela.xlsx

40.001,280.006,330.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,960.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 136

50.00 79

100.00 78

EFECTIVO 0.00

CHEQUE 0.00bicentenario: 93990101 4,700.00BANESCO: 280520079 4,507.75

RET. ALCALDIA 35.290.000.000.000.00

Page 1526: cuadre daniela.xlsx

DEBITO/CREDITO 150.00100.00900.0080.00

1,100.001,670.00270.00230.0090.0090.00570.00300.00

1,900.00comida juan-dorfran 170.00

maritza 300.00dev: factura: 86071 110.00dev: factura: 86138 570.00

90.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,690.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 5

5.00 0

10.00 3

20.00 3

50.00 0

100.00 1

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.00

Page 1527: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 550.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 550.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 0

20.00 10

50.00 2

100.00 1

EFECTIVO 0.00

CHEQUE 0.000.000.000.00

Page 1528: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 1,120.0090.00750.00900.00430.0040.00200.00280.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,810.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 9

50.00 3

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.00

Page 1529: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 40.001,020.004,450.00200.00950.00250.00

dev. Factura:86325 1,050.00viaticos san felix dorfran 200.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,160.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 2

50.00 7

100.00 28

EFECTIVO 0.00

Page 1530: cuadre daniela.xlsx

CHEQUE 0.00

transferencia banesco: 186522962 20,240.00deposito mercantil: 013052286460126 11,311.60

0.000.000.000.000.00

DEBITO/CREDITO 14,020.001,120.00130.0040.00650.00

1,090.00250.00650.00600.00200.0040.00170.00

comida richar- juan carlos 170.00comida dorfran 80.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 19,210.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 8

10.00 6

20.00 0

50.00 4

Page 1531: cuadre daniela.xlsx

100.00 18

EFECTIVO 0.00

CHEQUE 0.00TRANSFERENCIA MERCANTIL 3,138.99

RET. ALCALDIA 24.57BNC: 26605414 3,923.16RET. ALCALDIA 22.07

BANPLUS: 01000363 73,958.10RET. ALCALDIA 525.36RET. ALCALDIA 53.57

DEBITO/CREDITO 340.001,080.00780.00

1,120.00320.00250.00

JUAN CARLOS 200.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,090.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

Page 1532: cuadre daniela.xlsx

20.00 0

50.00 0

100.00 3

EFECTIVO 0.00

CHEQUE 0.00DEL SUR:68000819 980.00

0.000.000.000.000.000.00

DEBITO/CREDITO 580.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 580.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

Page 1533: cuadre daniela.xlsx

5.00 2

10.00 0

20.00 1

50.00 4

100.00 0

EFECTIVO 0.00

CHEQUE 0.00PROVINCIAL: 00002573 900.00

PELICULAS USO INTERNO 60.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

Page 1534: cuadre daniela.xlsx

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 400.00160.00

RET.ALCALDIA 18.29ISRL 45.71

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 624.00DEPOSITOS

TOTAL ENTREGADO

Page 1535: cuadre daniela.xlsx

5/1/2013total1.00

10.00

15.00

80.00

560.00

500.00

1,400.00

2,566.00

219.00

6,915.000.00

Page 1536: cuadre daniela.xlsx

9,700.00

5/3/2013total0.00

14.00

0.00

380.00

360.00

2,000.00

0.00

2,754.00

22,430.10

12,600.00

Page 1537: cuadre daniela.xlsx

0.00

37,784.10

5/4/2013total1.00

4.00

360.00

50.00

0.00

6,750.00

600.00

7,765.00

2,720.00

Page 1538: cuadre daniela.xlsx

20,035.000.00

30,520.00

5/6/2013total0.00

2.00

5.00

50.00

240.00

1,650.00

200.00

2,147.00

25,880.00

Page 1539: cuadre daniela.xlsx

21,653.000.00

49,680.00

5/7/2013total0.00

0.00

0.00

0.00

0.00

800.00

2,300.00

3,100.00

10,587.38

Page 1540: cuadre daniela.xlsx

4,540.000.00

18,227.38

5/8/2013total0.00

6.00

10.00

40.00

640.00

600.00

1,400.00

2,696.00

1,408.00

Page 1541: cuadre daniela.xlsx

14,135.000.00

18,239.00

5/9/2013total0.00

0.00

0.00

10.00

100.00

800.00

2,100.00

3,010.00

0.00

Page 1542: cuadre daniela.xlsx

9,315.000.00

12,325.00

5/10/2013total0.00

0.00

30.00

50.00

140.00

1,100.00

1,800.00

3,120.00

12,231.61

Page 1543: cuadre daniela.xlsx

4,570.000.00

19,921.61

5/13/2013total3.00

2.00

0.00

60.00

620.00

1,550.00

1,700.00

3,935.00

0.00

Page 1544: cuadre daniela.xlsx

26,615.000.00

30,550.00

5/14/2013total0.00

0.00

0.00

20.00

0.00

500.00

400.00

920.00

0.00

Page 1545: cuadre daniela.xlsx

2,795.000.00

3,715.00

5/15/2013total0.00

0.00

0.00

10.00

0.00

200.00

0.00

210.00

0.00

Page 1546: cuadre daniela.xlsx

955.000.00

1,165.00

5/16/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Page 1547: cuadre daniela.xlsx

3,490.000.00

3,490.00

5/17/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

Page 1548: cuadre daniela.xlsx

7,960.000.00

7,960.00

5/20/2013total0.00

0.00

0.00

0.00

2,720.00

3,950.00

7,800.00

14,470.00

9,243.04

Page 1549: cuadre daniela.xlsx

8,690.000.00

32,403.04

5/22/2013total0.00

10.00

0.00

30.00

60.00

0.00

100.00

200.00

0.00

Page 1550: cuadre daniela.xlsx

550.000.00

750.00

5/23/2013total0.00

0.00

10.00

0.00

200.00

100.00

100.00

410.00

0.00

Page 1551: cuadre daniela.xlsx

3,810.000.00

4,220.00

5/24/2013total0.00

0.00

0.00

30.00

180.00

150.00

600.00

960.00

0.00

Page 1552: cuadre daniela.xlsx

8,160.000.00

9,120.00

5/27/2013total0.00

0.00

0.00

20.00

40.00

350.00

2,800.00

3,210.00

Page 1553: cuadre daniela.xlsx

31,551.60

19,210.000.00

53,971.60

5/28/2013total0.00

0.00

40.00

60.00

0.00

200.00

Page 1554: cuadre daniela.xlsx

1,800.00

2,100.00

81,645.82

4,090.000.00

87,835.82

5/29/2013total0.00

0.00

0.00

0.00

Page 1555: cuadre daniela.xlsx

0.00

0.00

300.00

300.00

980.00

580.000.00

1,860.00

5/30/2013total0.00

0.00

Page 1556: cuadre daniela.xlsx

10.00

0.00

20.00

200.00

0.00

230.00

960.00

0.000.00

1,190.00

5/31/2013total

Page 1557: cuadre daniela.xlsx

0.00

0.00

0.00

20.00

0.00

0.00

0.00

20.00

0.00

624.000.00

644.00

Page 1558: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 10

20.00 23

50.00 49

100.00 96

EFECTIVO 0.00

CHEQUE 0.00

CARONI: 00598179 4,500.000.000.000.000.000.000.00

DEBITO/CREDITO 40.00550.0090.00530.00550.00340.00670.00

11,600.00350.00

15,550.001,280.00

40.002,250.002,680.00

DEV. FACTURA: 86147 580.00DEV. FACTURA: 86148 580.00FACT. DE DVD JORTIN 600.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 38,280.00

Page 1559: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 5

20.00 1

50.00 4

100.00 0

EFECTIVO 0.00

CHEQUE 0.00

CARONI:00143408 16,461.60CARONI:00017820 19,000.00

0.000.000.000.000.00

DEBITO/CREDITO 1,100.00160.00320.00130.0090.0090.00300.00

2,250.00330.00500.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1560: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 5,270.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 0

50.00 5

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 750.00550.00

1,120.00180.00

1,160.0090.00

FACT: 00012196 50.00CREDIFACIL: 34029498 21,000.00

COMIDA DORFRAN 80.00VIATICOS INPSASEL 100.00

0.000.000.000.000.000.000.000.000.000.00

Page 1561: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 25,080.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 9

100.00 3

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,370.00170.00200.00

DEV. FACT: 86832 700.00VIATICO INPSASEL 100.00

0.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1562: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 2,540.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 3

50.00 1

100.00 0

EFECTIVO 0.00

CHEQUE 0.00

ACTIVO: 58000361 12,870.80CARONI: 00000423 22,000.00

RET. ALCALDIA 100.740.000.000.000.00

DEBITO/CREDITO 7,180.0090.00

1,350.002,310.006,130.00

0.000.000.000.000.000.000.000.000.000.000.00

Page 1563: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 17,060.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 11

20.00 3

50.00 13

100.00 9

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,000.00190.00220.00

1,120.0040.00120.00620.00

8,485.00350.00910.00130.0080.00

DEV. FACT: 86902 50.000.00

Page 1564: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 15,315.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 16

100.00 32

EFECTIVO 0.00

CHEQUE 0.00comida dorfran 85.00

0.000.000.000.000.000.00

DEBITO/CREDITO 160.00390.0040.00130.0090.00730.00330.0090.0090.00

2,850.00570.00

1,480.00

Page 1565: cuadre daniela.xlsx

40.00780.0090.00320.00

4,700.003,000.006,200.004,000.004,000.00540.00120.00

DEBITOS Y/O CREDITO 30,740.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 1

20.00 28

50.00 20

100.00 12

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 500.001,100.00160.00200.000.000.000.000.000.000.00

Page 1566: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,960.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 8

50.00 5

100.00 12

EFECTIVO 0.00

CHEQUE 0.00MARITZA 200.00

CANTV 600.000.000.000.000.000.00

DEBITO/CREDITO 120.001,120.00320.00660.00

1,230.001,160.00

0.000.00

Page 1567: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,610.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 8

50.00 6

100.00 7

EFECTIVO 0.00

CHEQUE 0.001ER CORTE 15,000.00

ROGER 100.000.000.000.000.000.00

DEBITO/CREDITO 100.00720.00600.00130.00390.0090.00

Page 1568: cuadre daniela.xlsx

100.00930.00750.0050.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,860.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 1

20.00 0

50.00 9

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 600.001,810.00200.00

DORFRAN NOMINA 900.00

Page 1569: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,510.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 13

50.00 11

100.00 0

EFECTIVO 0.00

CHEQUE 0.00COMIDA DORFRAN 80.00

FACT. AGUA 60.000.000.000.000.000.00

DEBITO/CREDITO 250.0040.00

Page 1570: cuadre daniela.xlsx

320.00510.0080.00320.00520.00210.00430.0080.00

6,830.00390.00

2,800.00300.00780.0090.00880.00220.00240.00

1,120.0080.00300.00130.00

DEBITOS Y/O CREDITO 16,920.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 1

20.00 7

50.00 4

100.00 22

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

Page 1571: cuadre daniela.xlsx

DEBITO/CREDITO 40.001,180.00

90.0020,000.005,000.003,500.00240.00410.00

1,100.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 31,560.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 0

20.00 0

50.00 4

100.00 4

EFECTIVO 0.00

CHEQUE 0.00VENEZUELA: 16002367 1,870.00

0.000.000.000.00

Page 1572: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 130.001,070.00520.0050.00280.0090.00

3,500.00ANDRY 400.00

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,040.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 24

100.00 23

EFECTIVO 0.00

CHEQUE 0.000.000.000.00

Page 1573: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 480.001,190.00770.00

1,040.00500.00

11,500.001,480.00480.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 17,440.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 12

20.00 4

50.00 2

100.00 115

EFECTIVO 0.00

CHEQUE 0.000.00

Page 1574: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 90.00600.00

4,000.001,480.00580.00

MARITZA 20.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,770.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 0

50.00 0

100.00 0

EFECTIVO 0.00

Page 1575: cuadre daniela.xlsx

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 160.0090.00120.00

2,100.00130.00620.00

FACT. AGUA 90.00RET. 87.59

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,397.59DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 27

Page 1576: cuadre daniela.xlsx

50.00 36

100.00 29

EFECTIVO 0.00

CHEQUE 0.00bnc: 61003115 30,837.49

0.000.000.000.000.000.00

DEBITO/CREDITO 120.00280.00650.0090.00

1,300.0080.00170.00970.00

transferencia 1,350.00dev. Fact: 87594 160.00

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,170.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

Page 1577: cuadre daniela.xlsx

10.00 7

20.00 2

50.00 14

100.00 5

EFECTIVO 0.00

CHEQUE 0.00CORP BANCA 9,645.64

ISRL 23.570.000.000.000.000.00

DEBITO/CREDITO 1,000.00200.00

1,480.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,680.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

Page 1578: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 0

20.00 2

50.00 0

100.00 5

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 90.003,530.008,500.006,000.001,200.00

40.00440.00160.0040.0050.0090.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 20,140.00DEPOSITOS

TOTAL ENTREGADO

Page 1579: cuadre daniela.xlsx

6/3/2013total0.00

0.00

0.00

100.00

460.00

2,450.00

9,600.00

12,610.00

4,500.00

38,280.00

Page 1580: cuadre daniela.xlsx

0.00

55,390.00

6/4/2013total0.00

0.00

10.00

50.00

20.00

200.00

0.00

280.00

35,461.60

Page 1581: cuadre daniela.xlsx

5,270.000.00

41,011.60

6/5/2013total0.00

0.00

0.00

30.00

0.00

250.00

600.00

880.00

0.00

Page 1582: cuadre daniela.xlsx

25,080.000.00

25,960.00

6/6/2013total0.00

0.00

0.00

0.00

0.00

450.00

300.00

750.00

0.00

Page 1583: cuadre daniela.xlsx

2,540.000.00

3,290.00

6/7/2013total0.00

0.00

0.00

0.00

60.00

50.00

0.00

110.00

34,971.54

Page 1584: cuadre daniela.xlsx

17,060.000.00

52,141.54

6/8/2013total0.00

0.00

0.00

110.00

60.00

650.00

900.00

1,720.00

0.00

Page 1585: cuadre daniela.xlsx

15,315.000.00

17,035.00

6/10/2013total0.00

0.00

0.00

20.00

20.00

800.00

3,200.00

4,040.00

85.00

Page 1586: cuadre daniela.xlsx

30,740.000.00

34,865.00

6/11/2013total0.00

0.00

5.00

10.00

560.00

1,000.00

1,200.00

2,775.00

0.00

Page 1587: cuadre daniela.xlsx

1,960.000.00

4,735.00

6/12/2013total0.00

0.00

0.00

20.00

160.00

250.00

1,200.00

1,630.00

800.00

Page 1588: cuadre daniela.xlsx

4,610.000.00

7,040.00

6/13/2013total0.00

0.00

0.00

0.00

160.00

300.00

700.00

1,160.00

15,100.00

Page 1589: cuadre daniela.xlsx

3,860.000.00

20,120.00

6/14/2013total0.00

0.00

10.00

10.00

0.00

450.00

0.00

470.00

0.00

Page 1590: cuadre daniela.xlsx

3,510.000.00

3,980.00

6/15/2013total0.00

0.00

0.00

10.00

260.00

550.00

0.00

820.00

140.00

Page 1591: cuadre daniela.xlsx

16,920.000.00

17,880.00

6/18/2013total0.00

0.00

5.00

10.00

140.00

200.00

2,200.00

2,555.00

0.00

Page 1592: cuadre daniela.xlsx

31,560.000.00

34,115.00

6/19/2013total0.00

0.00

5.00

0.00

0.00

200.00

400.00

605.00

1,870.00

Page 1593: cuadre daniela.xlsx

6,040.000.00

8,515.00

6/20/2013total0.00

0.00

0.00

0.00

0.00

1,200.00

2,300.00

3,500.00

0.00

Page 1594: cuadre daniela.xlsx

17,440.000.00

20,940.00

6/21/2013total0.00

0.00

0.00

120.00

80.00

100.00

11,500.00

11,800.00

0.00

Page 1595: cuadre daniela.xlsx

6,770.000.00

18,570.00

6/22/2013total0.00

0.00

0.00

20.00

0.00

0.00

0.00

20.00

Page 1596: cuadre daniela.xlsx

0.00

3,397.590.00

3,417.59

6/26/2013total0.00

0.00

0.00

0.00

540.00

Page 1597: cuadre daniela.xlsx

1,800.00

2,900.00

5,240.00

30,837.49

5,170.000.00

41,247.49

6/27/2013total0.00

0.00

0.00

Page 1598: cuadre daniela.xlsx

70.00

40.00

700.00

500.00

1,310.00

9,669.21

2,680.000.00

13,659.21

6/28/2013total0.00

Page 1599: cuadre daniela.xlsx

0.00

0.00

0.00

40.00

0.00

500.00

540.00

0.00

20,140.000.00

20,680.00

Page 1600: cuadre daniela.xlsx

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 184

20.00 17

50.00 24

100.00 18

EFECTIVO 0.00

CHEQUE 0.00

ANDRY 950.00COMIDA REUNION 600.00DORFRAN COMIDA 100.00

720.000.000.000.00

DEBITO/CREDITO 320.0090.00

160.007,890.00110.0040.00

480.00480.00170.0040.00

1,180.0040.0040.00

120.002,440.00600.00120.00

1,160.00180.0040.00

280.0090.0040.00

DEBITOS Y/O CREDITO 16,110.00

Page 1601: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 11

20.00 5

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.00

PROVINCIAL: 00044309 634.550.000.000.000.000.000.00

DEBITO/CREDITO 1,130.00120.0040.0040.00

190.00300.00480.00580.00420.00550.00500.0090.000.000.000.000.000.000.000.000.000.000.00

Page 1602: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 4,440.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 8

50.00 28

100.00 12

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 750.00320.00

1,200.00120.00100.00

9,170.00970.00

LEUFRAN NOMINA 200.00ANDRY 50.00

0.000.000.000.000.000.000.000.000.000.000.00

Page 1603: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 12,880.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 45

20.00 8

50.00 24

100.00 15

EFECTIVO 0.00

CHEQUE 0.00BNC: 26601290 7,427.22RET. ALCALDIA 21.86

RET. ALCALDIA 371.710.000.000.000.00

DEBITO/CREDITO 430.00750.0090.00

590.001,950.002,000.00530.00935.00

5,000.0014,000.00

65.00130.00870.00

0.000.000.000.000.00

Page 1604: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 27,340.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 9

50.00 77

100.00 22

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,000.00340.00

1,400.00120.00

COMIDA 310.003,860.00270.00

TRANSPORTE 200.00600.00

0.000.000.000.000.000.000.00

Page 1605: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,100.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 1

2.00 1

5.00 0

10.00 87

20.00 64

50.00 17

100.00 0

EFECTIVO 0.00

CHEQUE 0.00provincial: 00009226 28,784.82

0.000.000.000.000.000.00

DEBITO/CREDITO 1,280.0040.00

190.00180.00240.00240.0040.00

430.00170.0090.00

120.00550.00170.00

fact comida 90.00

Page 1606: cuadre daniela.xlsx

andry 87.50dev factura: 88059 360.00dev factura: 88060 360.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,637.50DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 3

50.00 11

100.00 7

EFECTIVO 0.00

CHEQUE 0.00TRANSFERENCIA 28,150.00

0.000.000.000.000.000.00

DEBITO/CREDITO 220.003,100.00600.00130.00270.00440.00210.00220.00

0.000.000.000.00

Page 1607: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,190.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 1

50.00 1

100.00 24

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 90.00555.00

1,830.00320.00400.0090.00

JORTIN 600.00ANDRY 500.00

TRANSFERENCIA 4,850.000.00

Page 1608: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,235.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 0

50.00 3

100.00 9

EFECTIVO 0.00

CHEQUE 0.00CARONI: 00058057 2,947.38

RET. ALCALDIA 23.070.000.000.000.000.00

DEBITO/CREDITO 40.00230.00640.00990.00

ANTONIO FACT: 88275 3,400.000.000.000.00

Page 1609: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,300.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 DORFRAN GONZALEZ billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 5

20.00 4

50.00 6

100.00 3

EFECTIVO 0.00

CHEQUE 0.00PROVINCIAL:00004864 980.00MERCANTIL:85758137 33,317.58

BANESCO:48566223 4,507.75BANESCO:20815733 1,287.50

MERCANTIL:73912064 13,126.00

TODAS LAS RET. ALCALDIA 318.77DEV. FACTURA 88364 10,100.00DEBITO/CREDITO 390.00

130.0090.00

640.00120.00330.00

Page 1610: cuadre daniela.xlsx

90.0010,000.0015,000.00

420.00550.00650.00190.00

10,100.0013,920.00

320.001,180.00180.00

DORFRAN MEDICO 80.0080.00

TRANSPORTE 1,600.001,400.00

LEUFRAN 123.001,000.00

JUAN CARLOS 100.00DORFRAN COMIDA 100.00

DEBITOS Y/O CREDITO 58,783.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 7

20.00 49

50.00 4

100.00 19

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

Page 1611: cuadre daniela.xlsx

DEBITO/CREDITO 40.0050.00

540.00210.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 840.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 22

50.00 3

100.00 8

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 490.0040.0040.00

Page 1612: cuadre daniela.xlsx

350.00MRW 75.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 19

20.00 3

50.00 3

100.00 13

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 40.000.00

PABLOPAPELES 48.000.000.000.000.000.000.00

Page 1613: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 88.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 1

5.00 0

10.00 15

20.00 2

50.00 2

100.00 24

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 349.99129.99140.0080.00

750.00750.0089.99

470.000.00

ANDRY FACTURA 568.000.000.000.00

Page 1614: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 3,327.97

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 9

50.00 2

100.00 16

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 18,700.009,500.00

Page 1615: cuadre daniela.xlsx

139.99200.00200.00350.0040.00

640.00430.00210.00

factura Daniel Granado 105.00

0.000.00

DEBITOS Y/O CREDITO 30,514.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 1

2.00 1

5.00 0

10.00 1

20.00 150

50.00 10

100.00 7

EFECTIVO 0.00

CHEQUE 0.000.000.00

Page 1616: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 179.982,150.00

TAXI SR RICHAR(SABADO) 50.00PAGO ERIK LIPOSI 507.07

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,887.05DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 0

20.00 2

50.00 2

100.00 1

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.00

Page 1617: cuadre daniela.xlsx

0.00DEBITO/CREDITO 550.00

210.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 760.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 9

20.00 7

50.00 5

100.00 8

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,660.00190.00

Page 1618: cuadre daniela.xlsx

260.0089.990.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,199.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 8

20.00 3

50.00 12

100.00 2

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 70.00890.00

1,150.00210.00

Page 1619: cuadre daniela.xlsx

210.0040.00

150.00200.00149.99199.99

0.000.000.000.00

DEBITOS Y/O CREDITO 3,269.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 2

50.00 8

100.00 4

EFECTIVO 0.00

CHEQUE 1,961.870.000.000.000.000.000.000.00

DEBITO/CREDITO 300.00400.00380.00

factura 390.00retencion(iva) 172.77

Page 1620: cuadre daniela.xlsx

retencion(impuesto act.) 15.360.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,658.13DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 9

50.00 19

100.00 19

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 230.00260.00

15,000.00219.98330.0089.99

3,500.00799.99

Page 1621: cuadre daniela.xlsx

89.991,660.00320.00

FACTURA (ANDRY-CC) 550.000.000.00

DEBITOS Y/O CREDITO 23,049.95DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 5

5.00 0

10.00 4

20.00 3

50.00 1

100.00 18

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 280.00420.00350.00

1,499.98210.00150.00200.00

factura agua 70.000.000.000.000.00

Page 1622: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 3,179.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 3

5.00 1

10.00 0

20.00 9

50.00 2

100.00 7

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 550.001,069.99900.00

RUTH() 10.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,529.99DEPOSITOS

Page 1623: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 11

20.00 6

50.00 4

100.00 8

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 9,500.00890.00770.0040.00

450.00VIATICO SRA MARITZA 40.00ADELANDO SR FRAN V. 100.00

ANDRY 80.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,870.00DEPOSITOS

TOTAL ENTREGADO

Page 1624: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 8

20.00 6

50.00 0

100.00 5

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 380.00330.00

2,239.993,500.00654.64245.00320.00460.00320.00190.00159.98

0.000.000.00

DEBITOS Y/O CREDITO 8,799.61DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

Page 1625: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 4

20.00 4

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 930.01110.00550.0099.99

22,800.0018,500.008,500.002,459.99

0.000.00

,0.000.000.00

DEBITOS Y/O CREDITO 53,949.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 14

10.00 6

20.00 9

Page 1626: cuadre daniela.xlsx

50.00 33

100.00 5

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 150.00550.0060.00

4,500.00279.99600.00230.00600.00600.00

1,370.00600.0089.99

350.000.00

DEBITOS Y/O CREDITO 9,979.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 14

10.00 51

20.00 17

50.00 3

100.00 1

EFECTIVO 0.00

CHEQUE 0.000.00

Page 1627: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 129.993,560.00320.00300.00

1,800.01730.00

1,410.00250.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,500.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 4

50.00 4

100.00 10

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.00

Page 1628: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 1,900.003,050.01210.0089.9940.00

1,020.002,630.00

89.9989.99

FACTURA (SE DEBEN 5) 125.00EXTRAFINANCIAMIENTO 1,370.00

0.000.000.00

DEBITOS Y/O CREDITO 10,614.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 2

5.00 1

10.00 3

20.00 6

50.00 99

100.00 4

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 400.0060.00

Page 1629: cuadre daniela.xlsx

2,790.00120.00239.99

FACTURA ANDRY 120.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,729.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 2

50.00 0

100.00 2

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 150.00120.00210.0060.00

210.00330.00

FACTURA ANDRY 60.00

Page 1630: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,140.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 8

50.00 8

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,329.99210.00150.00619.99

CAJA-ROGER 1,080.00COMIDA-LUIS PORTILLO 130.00

FACTURA AGUA 70.000.000.000.000.00

Page 1631: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 6,589.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 3

20.00 1

50.00 4

100.00 24

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 610.01110.00120.00

4,870.00300.00380.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,390.01

Page 1632: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 3

2.00 0

5.00 0

10.00 1

20.00 10

50.00 47

100.00 60

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 450.00549.99320.00120.00120.0060.00

970.00120.00180.00320.00150.00

18,400.00620.00770.00120.00600.0160.00

2,080.00FACTURA ZOOM 150.00

Page 1633: cuadre daniela.xlsx

IMPUESTOS ANDRY 2,627.50DEBITOS Y/O CREDITO 26,160.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 44

20.00 6

50.00 12

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.00

FACTURA-ANDRY 1,210.00DEBITO/CREDITO 210.00

509.99630.00170.00250.00330.00320.0060.00

220.002,920.003,100.00120.00290.00250.00

DEBITOS Y/O CREDITO 9,379.99DEPOSITOS

TOTAL ENTREGADO

Page 1634: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 5

20.00 2

50.00 2

100.00 18

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 600.00880.01110.00100.0079.99

300.001,200.011,450.002,430.00220.00400.00

3,050.001,000.001,000.002,730.00220.00400.00639.99

FACTURA-MERCANAIMA 580.00COMIDA SR RICHARD 125.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS 17,515.00

Page 1635: cuadre daniela.xlsx

TOTAL ENTREGADO

0

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 0

20.00 13

50.00 0

100.00 3

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 110.00440.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

Page 1636: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 2

10.00

20.00 13

50.00 0

100.00 3

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 440.00110.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 550.00DEPOSITOS 550.00

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

Page 1637: cuadre daniela.xlsx

5.00 0

10.00 104

20.00 14

50.00 5

100.00 18

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,849.991,100.002,350.00665.00340.00

3,560.0050.00

3,560.004,610.001,970.001,450.00500.00

0.000.00

DEBITOS Y/O CREDITO 23,004.99DEPOSITOS 23,004.99

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 8

10.00 33

20.00 4

50.00 12

100.00 10

EFECTIVO 0.00

Page 1638: cuadre daniela.xlsx

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 665.00150.00

2,500.00650.00750.00440.00720.00

3,390.00260.00120.00

4,999.99120.00470.00

0.00DEBITOS Y/O CREDITO 15,234.99

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 5

50.00 0

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.00

Page 1639: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 6,200.0160.0060.00

239.990.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,560.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 4

50.00 5

100.00 20

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 190.00

Page 1640: cuadre daniela.xlsx

1,150.00400.00

1,040.00320.00350.00400.00

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,850.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 107

20.00 202

50.00 7

100.00 46

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,000.00210.00

2,000.00470.00

1,000.00

Page 1641: cuadre daniela.xlsx

1,100.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,780.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 5

20.00 1

50.00 6

100.00 9

EFECTIVO 0.00

CHEQUE 0.000.00

MANTTO. ASPIRADORA 300.00ADELANTO QUINC. JUAN CARLOS 300.00

500.00300.00600.00690.00

DEBITO/CREDITO 460.001,550.002,030.002,000.00120.00350.00200.00300.00300.00

Page 1642: cuadre daniela.xlsx

1,349.991,349.99150.00450.00780.00

DEBITOS Y/O CREDITO 11,389.98DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 980.003,190.00

60.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,230.00

Page 1643: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 2

50.00 19

100.00 8

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 330.00645.00

1,260.001,675.00

65.00570.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,545.00DEPOSITOS

TOTAL ENTREGADO

Page 1644: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 0

20.00 3

50.00 2

100.00 2

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 280.002,920.001,150.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,350.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

Page 1645: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 1

20.00 0

50.00 0

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 13

Page 1646: cuadre daniela.xlsx

50.00 8

100.00 1

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 240.00720.00270.00

1,560.00360.00360.00

1,050.001,800.00340.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 6,700.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 1

20.00 0

50.00 17

100.00 16

EFECTIVO 0.00

CHEQUE 0.000.00

Page 1647: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 720.001,900.00590.00

1,380.00110.00950.00

2,199.9970.00

380.00510.00180.00

ANDRY(PAGO EMLEADOS) 1,215.00PAGO PARCIAL TRANSP. NOCTURNO 400.00

0.00DEBITOS Y/O CREDITO 10,604.99

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 19

50.00 10

100.00 8

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

Page 1648: cuadre daniela.xlsx

DEBITO/CREDITO 2,020.001,400.00220.0070.00

240.001,200.001,560.00920.00220.0080.000.000.000.000.00

DEBITOS Y/O CREDITO 7,930.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 2

20.00 8

50.00 0

100.00 74

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 60.002,140.002,150.001,200.00850.00

Page 1649: cuadre daniela.xlsx

190.0015,000.001,180.00240.00430.00440.00475.00

1,610.001,380.00

DEBITOS Y/O CREDITO 27,345.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 179

20.00 7

50.00 7

100.00 1

EFECTIVO 0.00

CHEQUE 3,340.000.000.000.000.000.000.000.00

DEBITO/CREDITO 22,279.991,250.00

70.002,150.00360.00820.00120.00360.00

1,250.00

Page 1650: cuadre daniela.xlsx

180.00170.00

3,560.000.000.00

DEBITOS Y/O CREDITO 32,569.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 4

10.00 3

20.00 35

50.00 21

100.00 12

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 360.00340.00140.00140.00

3,200.00360.00340.00

0.000.000.000.00

Page 1651: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 4,880.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 5

10.00 18

20.00 8

50.00 5

100.00 16

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 680.00360.00120.00140.00360.00

1,900.00220.00300.00

2,220.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,300.00DEPOSITOS

Page 1652: cuadre daniela.xlsx

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 8

20.00 27

50.00 7

100.00 2

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,040.00599.9960.00

1,560.002,150.002,100.00220.00950.00

7,850.002,630.00

0.000.000.000.00

DEBITOS Y/O CREDITO 19,159.99DEPOSITOS

TOTAL ENTREGADO

Page 1653: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 25

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 270.0080.00

1,900.00370.0030.00

3,559.99470.00

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,679.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

Page 1654: cuadre daniela.xlsx

5.00 0

10.00 3

20.00 11

50.00 6

100.00 9

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.00

RETENCION DE IVA 101.25DEBITO/CREDITO 360.00

410.002,500.00220.00650.00190.00

1,140.00360.00

2,140.00360.00710.00100.00

1,060.00140.00

DEBITOS Y/O CREDITO 10,340.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 7

Page 1655: cuadre daniela.xlsx

50.00 5

100.00 15

EFECTIVO 0.00

CHEQUE 0.00VIATICO SRA MARITZA 40.00

0.000.000.000.000.000.00

DEBITO/CREDITO 200.003,150.002,120.00500.00

1,961.873,200.00

80.001,200.00160.00

0.000.000.000.00

DEBITOS Y/O CREDITO 12,571.87DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 10

20.00 2

50.00 14

100.00 9

EFECTIVO 0.00

CHEQUE 0.000.00

Page 1656: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 380.001,830.00330.00

1,990.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,530.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 5

5.00 0

10.00 0

20.00 18

50.00 2

100.00 4

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.00

Page 1657: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 130.00640.00530.00710.0090.0060.00

340.00280.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,780.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 16

50.00 40

100.00 4

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

Page 1658: cuadre daniela.xlsx

DEBITO/CREDITO 410.002,120.00100.00210.00410.00120.00400.00

1,779.99PAGO PARCIAL DANIELA VARGAS 200.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 5,749.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 6

10.00 5

20.00 6

50.00 2

100.00 10

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 519.991,960.001,050.00

Page 1659: cuadre daniela.xlsx

2,670.002,670.00620.00

1,990.00350.0080.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,909.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 22

20.00 1

50.00 13

100.00 18

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.00

500.00DEBITO/CREDITO 1,540.00

890.00130.00320.00340.00420.00210.00

Page 1660: cuadre daniela.xlsx

450.0040.0090.00

15,000.00410.00360.00150.00

DEBITOS Y/O CREDITO 20,350.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 9

20.00 15

50.00 52

100.00 22

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.00

ERICK LUPORSI-PRESTAMO 700.00

EXTRA-CREDITO 15,700.002,120.00

DEBITO/CREDITO 200.00200.00150.00

8,000.007,850.00500.00360.00440.00770.00290.00

Page 1661: cuadre daniela.xlsx

830.007,700.00120.00

2,120.00DEBITOS Y/O CREDITO 29,530.00

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 26

50.00 71

100.00 14

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 760.00890.00

5,430.00600.00

15,899.99550.00

2,120.005,430.005,430.00

FACTURA 190.000.000.000.000.00

DEBITOS Y/O CREDITO 37,299.99

Page 1662: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 150

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.00

0.00 0.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

Page 1663: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 30

50.00 6

100.00 5

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 27,750.00890.00

23,259.9990.0090.00

120.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 52,199.99DEPOSITOS

TOTAL ENTREGADO

Page 1664: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 0

20.00 38

50.00 3

100.00 7

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 15,000.00320.00690.00

5,670.0090.00

210.00210.00

1,050.00255.00500.00400.00

0.000.000.00

DEBITOS Y/O CREDITO 24,395.00DEPOSITOS

TOTAL ENTREGADO

Page 1665: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 5

5.00 2

10.00 34

20.00 8

50.00 9

100.00 0

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 340.001,960.00110.00

1,250.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,660.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

Page 1666: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 14

20.00 8

50.00 5

100.00 6

EFECTIVO 0.00

CHEQUE 0.000.00

CHEQUE 21,270.38500.00770.00610.00320.00

4,420.00DEBITO/CREDITO 290.00

220.0080.00

490.00160.00230.00240.0090.00

210.00500.00

1,580.00130.00

3,786.88120.00

DEBITOS Y/O CREDITO 8,126.88DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

Page 1667: cuadre daniela.xlsx

20.00 0

50.00 10

100.00 5

EFECTIVO 0.00

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 160.00220.00180.00210.00210.0090.00

17,780.001,140.00160.00890.00990.00

0.000.000.00

DEBITOS Y/O CREDITO 22,030.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 3

10.00 0

20.00 0

50.00 1

100.00 2

EFECTIVO 0.00

CHEQUE 0.00

Page 1668: cuadre daniela.xlsx

SUBI A ANDRY EN EFECTIVO 22,050.000.000.000.000.000.000.00

DEBITO/CREDITO 370.00160.00

1,240.00250.00530.00

1,050.00260.00240.00260.00890.00500.00220.00

0.000.00

DEBITOS Y/O CREDITO 5,970.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 0

50.00 1

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.00

Page 1669: cuadre daniela.xlsx

0.000.000.00

FACTURA ANDRY 280.00DEBITO/CREDITO 0.00

770.00299.99270.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,339.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 2

20.00 1

50.00 3

100.00 19

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

Page 1670: cuadre daniela.xlsx

DEBITO/CREDITO 890.00450.00270.00450.00

1,779.990.00

FACTURA 160.00FACTURA 94394(NOMINA) 800.00QUINCENA SRA MARITZA 350.00PAGO DANIELA VARGAS 1,410.00

0.000.000.000.00

DEBITOS Y/O CREDITO 6,559.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 19

20.00 14

50.00 0

100.00 18

EFECTIVO

CHEQUE 0.000.000.000.000.000.00

SUBI EN EFECTIVO(10:30AM) 59,600.000.00

DEBITO/CREDITO 500.0020,550.00

Page 1671: cuadre daniela.xlsx

390.001,199.99170.00170.00

22,050.001,310.00390.0050.00

170.002,109.998,000.00

0.00DEBITOS Y/O CREDITO 57,059.98

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 6

20.00 3

50.00 2

100.00 95

EFECTIVO

CHEQUE 0.000.000.000.000.000.00

FACT. AGUA 105.000.00

DEBITO/CREDITO 13,200.00330.00

20,550.00170.00

15,000.001,540.00

Page 1672: cuadre daniela.xlsx

1,310.00530.00239.99130.00370.00

1,540.00610.00160.00

DEBITOS Y/O CREDITO 55,679.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 5

20.00 8

50.00 18

100.00 24

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 780.00310.00650.00

15,520.000.000.000.000.000.000.000.00

Page 1673: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 17,260.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 4

50.00 0

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.00

FACTURA ANDRY-PENDIENTE 450.000.00

DEBITO/CREDITO 659.99310.00

10,000.0014,500.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 25,469.99

Page 1674: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 4

20.00 8

50.00 6

100.00 37

EFECTIVO

CHEQUE 0.000.000.000.00

TRANFERENCIA 11,500.00TRANSFERENCIA 11,500.00

MRW 110.000.00

DEBITO/CREDITO 1,310.00330.00260.00

2,600.00320.00180.00

1,650.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,650.00DEPOSITOS

TOTAL ENTREGADO

Page 1675: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,540.0025,000.001,220.00650.00330.00280.00430.00650.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 30,100.00DEPOSITOS

TOTAL ENTREGADO

Page 1676: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 17

50.00 50

100.00 9

EFECTIVO

CHEQUE 0.00

SRA MARITZA VIATICO 40.00ANDRY VIATICO 240.00

0.000.000.000.000.00

DEBITO/CREDITO 8,500.001,540.00190.00

7,700.007,350.007,700.00190.00330.00

13,200.00500.00280.0065.00

280.00330.00

DEBITOS Y/O CREDITO 48,155.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

Page 1677: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.00

160.00220.0060.00

DEBITO/CREDITO 210.00410.00

2,470.002,000.00650.00

8,500.008,500.001,030.00220.00330.00

1,070.00380.00580.00650.00

DEBITOS Y/O CREDITO 27,000.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 3

10.00 14

20.00 11

50.00 4

100.00 12

Page 1678: cuadre daniela.xlsx

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

sr Richard prestamo 100.00DEBITO/CREDITO 7,350.00

7,350.0013,200.0013,200.007,700.00500.00960.00400.00

1,540.00190.00

4,279.99190.00320.00330.00

DEBITOS Y/O CREDITO 0.00DEPOSITOS 57,609.99

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 3

10.00 14

20.00 11

50.00 4

100.00 12

EFECTIVO

CHEQUE 0.00SR RICHARD 100.00

0.000.000.00

Page 1679: cuadre daniela.xlsx

0.007,540.00959.99

DEBITO/CREDITO 190.00320.00

4,279.991,540.007,350.007,350.00

13,200.0013,200.007,700.00500.00960.00400.00190.00330.00

DEBITOS Y/O CREDITO 57,509.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 2

20.00 2

50.00 78

100.00 9

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.00

Page 1680: cuadre daniela.xlsx

0.00DEBITO/CREDITO 650.00

250.00300.00

DEPOSITO 4,000.00FAC. DOMESA 100.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,300.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 1

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 280.002,690.00215.00

Page 1681: cuadre daniela.xlsx

1,070.00449.99

VIATICO 26/12/2013 SRA M 40.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,744.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 18

20.00 18

50.00 27

100.00 4

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,540.001,310.00320.00

0.000.000.00

Page 1682: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,170.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 3

5.00 1

10.00 50

20.00 41

50.00 21

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 190.002,690.001,530.00730.00320.00170.00

1,540.00590.00220.00170.00

ANDRY 60.00

Page 1683: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 8,210.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 6

20.00 0

50.00 1

100.00 2

EFECTIVO

CHEQUE 29,244.640.000.000.000.000.000.000.00

DEBITO/CREDITO 320.00460.00

3,650.001,140.004,150.001,140.00479.99320.00

0.000.00

ANDRY 100.000.00

sr Jortin 500.000.00

DEBITOS Y/O CREDITO 12,259.99

Page 1684: cuadre daniela.xlsx

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 350.00270.00320.00270.00510.00150.00

10,500.00780.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 13,150.00DEPOSITOS

TOTAL ENTREGADO

Page 1685: cuadre daniela.xlsx

7/1/2013total0.00

0.00

0.00

1,840.00

340.00

1,200.00

1,800.00

5,180.00

2,370.00

16,110.00

Page 1686: cuadre daniela.xlsx

0.00

23,660.00

7/2/2013total0.00

0.00

0.00

110.00

100.00

0.00

0.00

210.00

634.55

Page 1687: cuadre daniela.xlsx

4,440.000.00

5,284.55

7/3/2013total0.00

0.00

0.00

10.00

160.00

1,400.00

1,200.00

2,770.00

0.00

Page 1688: cuadre daniela.xlsx

12,880.000.00

15,650.00

7/4/2013total0.00

0.00

0.00

450.00

160.00

1,200.00

1,500.00

3,310.00

7,820.79

Page 1689: cuadre daniela.xlsx

27,340.000.00

38,470.79

7/5/2013total0.00

0.00

0.00

30.00

180.00

3,850.00

2,200.00

6,260.00

0.00

Page 1690: cuadre daniela.xlsx

9,100.000.00

15,360.00

7/8/2013total1.00

2.00

0.00

870.00

1,280.00

850.00

0.00

3,003.00

28,784.82

Page 1691: cuadre daniela.xlsx

4,637.500.00

36,425.32

7/9/2013total0.00

0.00

0.00

0.00

60.00

550.00

700.00

1,310.00

28,150.00

Page 1692: cuadre daniela.xlsx

5,190.000.00

34,650.00

7/11/2013total0.00

0.00

0.00

0.00

20.00

50.00

2,400.00

2,470.00

0.00

Page 1693: cuadre daniela.xlsx

9,235.000.00

11,705.00

7/12/2013total0.00

0.00

0.00

30.00

0.00

150.00

900.00

1,080.00

2,970.45

Page 1694: cuadre daniela.xlsx

5,300.000.00

9,350.45

7/15/2013total0.00

0.00

5.00

50.00

80.00

300.00

300.00

735.00

63,637.60

Page 1695: cuadre daniela.xlsx

58,783.000.00

123,155.60

10/1/2013total0.00

0.00

0.00

70.00

980.00

200.00

1,900.00

3,150.00

0.00

Page 1696: cuadre daniela.xlsx

840.000.00

3,990.00

10/2/2013total0.00

0.00

0.00

0.00

440.00

150.00

800.00

1,390.00

0.00

Page 1697: cuadre daniela.xlsx

995.000.00

2,385.00

10/3/2013total0.00

2.00

0.00

190.00

60.00

150.00

1,300.00

1,702.00

0.00

Page 1698: cuadre daniela.xlsx

88.000.00

1,790.00

10/4/2013total0.00

2.00

0.00

150.00

40.00

100.00

2,400.00

2,692.00

0.00

Page 1699: cuadre daniela.xlsx

3,327.970.00

6,019.97

10/5/2013total0.00

0.00

0.00

20.00

180.00

100.00

1,600.00

1,900.00

0.00

Page 1700: cuadre daniela.xlsx

30,514.990.00

32,414.99

10/7/2013total1.00

2.00

0.00

10.00

3,000.00

500.00

700.00

4,213.00

0.00

Page 1701: cuadre daniela.xlsx

2,887.050.00

7,100.05

10/8/2013total0.00

0.00

20.00

0.00

40.00

100.00

100.00

260.00

0.00

Page 1702: cuadre daniela.xlsx

760.000.00

1,020.00

10/9/2013total0.00

0.00

0.00

90.00

140.00

250.00

800.00

1,280.00

0.00

Page 1703: cuadre daniela.xlsx

2,199.990.00

3,479.99

10/10/2013total0.00

0.00

0.00

80.00

60.00

600.00

200.00

940.00

0.00

Page 1704: cuadre daniela.xlsx

3,269.980.00

4,209.98

10/11/2013total0.00

0.00

0.00

30.00

40.00

400.00

400.00

870.00

1,961.87

Page 1705: cuadre daniela.xlsx

1,658.130.00

4,490.00

10/14/2013total0.00

0.00

0.00

0.00

180.00

950.00

1,900.00

3,030.00

0.00

Page 1706: cuadre daniela.xlsx

23,049.950.00

26,079.95

10/15/2013total0.00

10.00

0.00

40.00

60.00

50.00

1,800.00

1,960.00

0.00

Page 1707: cuadre daniela.xlsx

3,179.980.00

5,139.98

10/16/2013total0.00

6.00

5.00

0.00

180.00

100.00

700.00

991.00

0.00

2,529.990.00

Page 1708: cuadre daniela.xlsx

3,520.99

10/17/2013total0.00

0.00

0.00

110.00

120.00

200.00

800.00

1,230.00

0.00

11,870.000.00

13,100.00

Page 1709: cuadre daniela.xlsx

10/18/2013total0.00

0.00

0.00

80.00

120.00

0.00

500.00

700.00

0.00

8,799.610.00

9,499.61

10/19/2013total0.00

Page 1710: cuadre daniela.xlsx

0.00

0.00

40.00

80.00

0.00

0.00

120.00

0.00

53,949.990.00

54,069.99

10/21/2013total0.00

0.00

70.00

60.00

180.00

Page 1711: cuadre daniela.xlsx

1,650.00

500.00

2,460.00

0.00

9,979.980.00

12,439.98

10/22/2013total0.00

0.00

70.00

510.00

340.00

150.00

100.00

1,170.00

0.00

Page 1712: cuadre daniela.xlsx

8,500.000.00

9,670.00

10/23/2013total0.00

0.00

0.00

40.00

80.00

200.00

1,000.00

1,320.00

0.00

Page 1713: cuadre daniela.xlsx

10,614.980.00

11,934.98

10/24/2013total0.00

4.00

5.00

30.00

120.00

4,950.00

400.00

5,509.00

0.00

Page 1714: cuadre daniela.xlsx

3,729.990.00

9,238.99

10/25/2013total0.00

0.00

0.00

0.00

40.00

0.00

200.00

240.00

0.00

Page 1715: cuadre daniela.xlsx

1,140.000.00

1,380.00

10/26/2013total0.00

0.00

0.00

30.00

160.00

400.00

0.00

590.00

0.00

Page 1716: cuadre daniela.xlsx

6,589.980.00

7,179.98

10/28/2013total0.00

0.00

5.00

30.00

20.00

200.00

2,400.00

2,655.00

0.00

6,390.01

Page 1717: cuadre daniela.xlsx

0.00

9,045.01

10/29/2013total2.50

0.00

0.00

10.00

200.00

2,350.00

6,000.00

8,562.50

0.00

Page 1718: cuadre daniela.xlsx

26,160.000.00

34,722.50

10/30/2013total0.00

0.00

0.00

440.00

120.00

600.00

600.00

1,760.00

1,210.00

9,379.990.00

12,349.99

Page 1719: cuadre daniela.xlsx

10/31/2013total0.00

0.00

5.00

50.00

40.00

100.00

1,800.00

1,995.00

0.00

17,515.000.00

Page 1720: cuadre daniela.xlsx

19,510.00

11/1/2013total0.00

0.00

10.00

0.00

260.00

0.00

300.00

570.00

0.00

0.000.00

570.00

Page 1721: cuadre daniela.xlsx

11/1/2013total0.00

0.00

10.00

0.00

260.00

0.00

300.00

570.00

0.00

550.000.00

1,670.00

11/2/2013total0.00

0.00

Page 1722: cuadre daniela.xlsx

0.00

1,040.00

280.00

250.00

1,800.00

3,370.00

0.00

23,004.990.00

49,379.98

11/4/2013total0.00

0.00

40.00

330.00

80.00

600.00

1,000.00

2,050.00

Page 1723: cuadre daniela.xlsx

0.00

15,234.990.00

17,284.99

11/5/2013total0.00

0.00

0.00

30.00

100.00

0.00

600.00

730.00

0.00

Page 1724: cuadre daniela.xlsx

6,560.000.00

7,290.00

11/6/2013total0.00

0.00

0.00

10.00

80.00

250.00

2,000.00

2,340.00

0.00

Page 1725: cuadre daniela.xlsx

3,850.000.00

6,190.00

11/7/2013total0.00

0.00

0.00

1,070.00

4,040.00

350.00

4,600.00

10,060.00

0.00

Page 1726: cuadre daniela.xlsx

6,780.000.00

16,840.00

11/8/2013total0.00

0.00

5.00

50.00

20.00

300.00

900.00

1,275.00

2,690.00

Page 1727: cuadre daniela.xlsx

11,389.980.00

15,354.98

11/9/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

4,230.00

Page 1728: cuadre daniela.xlsx

0.00

4,230.00

11/11/2013total

0.00

0.00

0.00

0.00

40.00

950.00

800.00

1,790.00

0.00

4,545.000.00

6,335.00

Page 1729: cuadre daniela.xlsx

11/12/2013total0.00

0.00

5.00

0.00

60.00

100.00

200.00

365.00

0.00

4,350.000.00

4,715.00

11/13/2013total0.00

Page 1730: cuadre daniela.xlsx

0.00

0.00

10.00

0.00

0.00

600.00

610.00

0.00

0.000.00

610.00

11/14/2013total0.00

0.00

0.00

0.00

260.00

Page 1731: cuadre daniela.xlsx

400.00

100.00

760.00

0.00

6,700.000.00

7,460.00

11/15/2013total0.00

0.00

5.00

10.00

0.00

850.00

1,600.00

2,465.00

0.00

Page 1732: cuadre daniela.xlsx

10,604.990.00

13,069.99

11/16/2013total0.00

0.00

0.00

20.00

380.00

500.00

800.00

1,700.00

0.00

Page 1733: cuadre daniela.xlsx

7,930.000.00

9,630.00

11/18/2013total0.00

0.00

10.00

20.00

160.00

0.00

7,400.00

7,590.00

0.00

Page 1734: cuadre daniela.xlsx

27,345.000.00

34,935.00

11/18/2013total0.00

0.00

0.00

1,790.00

140.00

350.00

100.00

2,380.00

3,340.00

Page 1735: cuadre daniela.xlsx

32,569.990.00

38,289.99

11/20/2013total0.00

0.00

20.00

30.00

700.00

1,050.00

1,200.00

3,000.00

0.00

Page 1736: cuadre daniela.xlsx

4,880.000.00

7,880.00

11/21/2013total0.00

0.00

25.00

180.00

160.00

250.00

1,600.00

2,215.00

0.00

6,300.000.00

Page 1737: cuadre daniela.xlsx

8,515.00

11/22/2013total0.00

0.00

0.00

80.00

540.00

350.00

200.00

1,170.00

0.00

19,159.990.00

20,329.99

Page 1738: cuadre daniela.xlsx

11/23/2013total0.00

0.00

0.00

20.00

20.00

1,250.00

600.00

1,890.00

0.00

6,679.990.00

8,569.99

11/25/2013total0.00

0.00

Page 1739: cuadre daniela.xlsx

0.00

30.00

220.00

300.00

900.00

1,450.00

101.25

10,340.000.00

11,891.25

11/26/2013total0.00

0.00

0.00

10.00

140.00

Page 1740: cuadre daniela.xlsx

250.00

1,500.00

1,900.00

40.00

12,571.870.00

14,511.87

11/27/2013total0.00

0.00

0.00

100.00

40.00

700.00

900.00

1,740.00

0.00

Page 1741: cuadre daniela.xlsx

4,530.000.00

6,270.00

11/28/2013total0.00

10.00

0.00

0.00

360.00

100.00

400.00

870.00

0.00

Page 1742: cuadre daniela.xlsx

2,780.000.00

3,650.00

11/29/2013total0.00

0.00

0.00

0.00

320.00

2,000.00

400.00

2,720.00

0.00

Page 1743: cuadre daniela.xlsx

5,749.990.00

8,469.99

11/30/2013total0.00

0.00

30.00

50.00

120.00

100.00

1,000.00

1,300.00

0.00

Page 1744: cuadre daniela.xlsx

11,909.990.00

13,209.99

12/2/2013total0.00

0.00

0.00

220.00

20.00

650.00

1,800.00

2,690.00

500.00

Page 1745: cuadre daniela.xlsx

20,350.000.00

23,540.00

12/3/2013total0.00

0.00

0.00

90.00

300.00

2,600.00

2,200.00

5,190.00

18,520.00

Page 1746: cuadre daniela.xlsx

29,530.000.00

53,240.00

12/4/2013total0.00

0.00

0.00

10.00

520.00

3,550.00

1,400.00

5,480.00

0.00

37,299.99

Page 1747: cuadre daniela.xlsx

0.00

42,779.99

12/4/2013total0.00

0.00

0.00

0.00

0.00

0.00

15,000.00

15,000.00

0.00

0.000.00

15,000.00

Page 1748: cuadre daniela.xlsx

12/5/2013total0.00

0.00

0.00

10.00

600.00

300.00

500.00

1,410.00

0.00

52,199.990.00

53,609.99

Page 1749: cuadre daniela.xlsx

12/6/2013total0.00

0.00

10.00

0.00

760.00

150.00

700.00

1,620.00

0.00

24,395.000.00

26,015.00

Page 1750: cuadre daniela.xlsx

12/7/2013total0.00

10.00

10.00

340.00

160.00

450.00

0.00

970.00

0.00

3,660.000.00

4,630.00

12/9/2013total0.00

Page 1751: cuadre daniela.xlsx

0.00

0.00

140.00

160.00

250.00

600.00

1,150.00

27,890.38

8,126.880.00

37,167.26

12/10/2013total0.00

0.00

0.00

10.00

Page 1752: cuadre daniela.xlsx

0.00

500.00

500.00

1,010.00

0.00

22,030.000.00

23,040.00

12/11/2013total0.00

0.00

15.00

0.00

0.00

50.00

200.00

265.00

22,050.00

Page 1753: cuadre daniela.xlsx

5,970.000.00

28,285.00

12/12/2013total0.00

0.00

0.00

40.00

0.00

50.00

300.00

390.00

280.00

Page 1754: cuadre daniela.xlsx

1,339.990.00

2,009.99

12/13/2013total0.00

0.00

0.00

20.00

20.00

150.00

1,900.00

2,090.00

0.00

Page 1755: cuadre daniela.xlsx

6,559.990.00

8,649.99

12/16/2013total0.00

0.00

0.00

190.00

280.00

0.00

1,800.00

2,270.00

59,600.00

Page 1756: cuadre daniela.xlsx

57,059.980.00

118,929.98

12/17/2013total0.00

0.00

5.00

60.00

60.00

100.00

9,500.00

9,725.00

105.00

Page 1757: cuadre daniela.xlsx

55,679.990.00

65,509.99

12/18/2013total0.00

0.00

0.00

50.00

160.00

900.00

2,400.00

3,510.00

0.00

Page 1758: cuadre daniela.xlsx

17,260.000.00

20,770.00

12/19/2013total0.00

0.00

0.00

10.00

80.00

0.00

300.00

390.00

450.00

25,469.99

Page 1759: cuadre daniela.xlsx

0.00

26,309.99

12/20/2013total0.00

0.00

0.00

40.00

160.00

300.00

3,700.00

4,200.00

23,110.00

6,650.000.00

33,960.00

Page 1760: cuadre daniela.xlsx

12/21/2013total0.00

0.00

0.00

0.00

0.00

0.00

200.00

200.00

0.00

30,100.000.00

30,300.00

Page 1761: cuadre daniela.xlsx

12/23/2013total0.00

0.00

0.00

30.00

340.00

2,500.00

900.00

3,770.00

280.00

48,155.000.00

52,205.00

12/23/2013total0.00

Page 1762: cuadre daniela.xlsx

0.00

0.00

0.00

0.00

0.00

0.00

0.00

440.00

27,000.000.00

27,440.00

12/24/2013total0.00

0.00

15.00

140.00

220.00

200.00

1,200.00

Page 1763: cuadre daniela.xlsx

1,775.00

100.00

0.000.00

1,875.00

12/24/2013total0.00

0.00

15.00

140.00

220.00

200.00

1,200.00

1,775.00

8,599.99

Page 1764: cuadre daniela.xlsx

57,509.990.00

67,884.98

12/26/2013total0.00

0.00

5.00

20.00

40.00

3,900.00

900.00

4,865.00

0.00

Page 1765: cuadre daniela.xlsx

5,300.000.00

10,165.00

12/27/2013total0.00

0.00

0.00

10.00

0.00

50.00

0.00

60.00

0.00

Page 1766: cuadre daniela.xlsx

4,744.990.00

4,804.99

12/28/2013total0.00

0.00

0.00

180.00

360.00

1,350.00

400.00

2,290.00

0.00

Page 1767: cuadre daniela.xlsx

3,170.000.00

5,460.00

12/30/2013total0.00

6.00

5.00

500.00

820.00

1,050.00

300.00

2,681.00

0.00

Page 1768: cuadre daniela.xlsx

8,210.000.00

10,891.00

12/31/2013total0.00

0.00

0.00

60.00

0.00

50.00

200.00

310.00

29,244.64

12,259.99

Page 1769: cuadre daniela.xlsx

0.00

41,814.63

12/30/2013total0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

0.00

13,150.000.00

13,150.00

Page 1770: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 2

10.00 1

20.00 1

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 170.008,490.00

ANDRY 90.00MARCOS 80.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,830.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

Page 1771: cuadre daniela.xlsx

2.00 0

5.00 0

10.00 2

20.00 27

50.00 0

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 215.0024,500.003,340.00250.00520.00

18,970.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 47,795.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 GAULIZ billetes cantidad

1.00 0

2.00 0

5.00 0

Page 1772: cuadre daniela.xlsx

10.00 20

20.00 0

50.00 600

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 9,395.003,395.006,000.00180.00730.00170.00450.00860.00

ANDRY 30.00VIATICOS SRA M. 40.00

0.000.000.000.00

DEBITOS Y/O CREDITO 21,250.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 3

10.00 11

20.00 1

50.00 5

100.00 1

EFECTIVO

Page 1773: cuadre daniela.xlsx

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 115.0017,900.001,620.00750.00

2,250.002,250.002,040.00700.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 27,625.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 19

20.00 2

50.00 0

100.00 10

EFECTIVO

CHEQUE 0.000.000.000.000.00

Page 1774: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 505.00220.00120.00100.0050.00

1,250.00120.00

1,900.00180.00

EXTRA-FINANCIAMIENTO 4,000.00SUBI EN EFECTIVO 12,000.00

0.000.000.00

DEBITOS Y/O CREDITO 20,445.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 3

50.00 19

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 760.001,830.00

Page 1775: cuadre daniela.xlsx

1,070.0019,224.99

210.0018,920.001,310.002,400.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 45,724.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 1

50.00 3

100.00 3

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 35,800.001,830.001,830.002,500.00220.00

Page 1776: cuadre daniela.xlsx

240.001,140.00

ANDRY 100.00SR JORTIN 400.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 44,060.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 6

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 55.00300.00

1,000.001,950.001,960.00135.00130.00

0.000.00

Page 1777: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 5,530.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 25

100.00 6

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 650.00204.99250.00

0.000.000.000.000.000.000.000.000.000.00

Page 1778: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 1,104.99

DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 8

20.00 4

50.00 20

100.00 4

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 12,000.00275.00120.0060.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 12,455.00DEPOSITOS

TOTAL ENTREGADO

Page 1779: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 2

20.00 0

50.00 0

100.00 7

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 70,000.006,500.006,500.00800.00

20,000.0015,000.0019,300.0022,500.00

560.0018,000.00

360.000.000.000.00

DEBITOS Y/O CREDITO 179,520.00DEPOSITOS

TOTAL ENTREGADO

Page 1780: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 60

20.00 5

50.00 1

100.00 5

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,310.00120.00

40,765.004,000.00

60.00110.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 46,365.00DEPOSITOS

TOTAL ENTREGADO

Page 1781: cuadre daniela.xlsx

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 2

5.00 0

10.00 29

20.00 0

50.00 5

100.00 10

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 380.00395.00

10,764.99395.00410.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 12,344.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH

Page 1782: cuadre daniela.xlsx

billetes cantidad1.00 0

2.00 0

5.00 2

10.00 1

20.00 8

50.00 53

100.00 4

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 500.00215.00

12,319.99500.00

1,120.00180.00360.00

16,500.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 31,694.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

Page 1783: cuadre daniela.xlsx

20.00 2

50.00 0

100.00 4

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 550.00130.00330.00330.00

4,400.00500.00650.00

ANDRY 50.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,940.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 39

20.00 4

50.00 6

Page 1784: cuadre daniela.xlsx

100.00 5

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 550.002,129.99330.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,009.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 19

100.00 39

EFECTIVO

CHEQUE 0.00

Page 1785: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,200.007,000.00300.00359.99

5,380.00340.00650.00

EFECTIVO 15,000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 31,229.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 1

100.00 0

EFECTIVO

CHEQUE 58,424.970.00

Page 1786: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 450.00180.00

FACTURA 60.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 690.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 2

50.00 0

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.00

Page 1787: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 1,310.001,380.00

15,610.002,250.00

ANDRY 100.00FACTURA 8,000.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 28,650.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 1

20.00 0

50.00 0

100.00 4

EFECTIVO

CHEQUE 0.000.000.00

Page 1788: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 215.0021,849.99

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 22,064.99DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 2

100.00 9

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 470.00

Page 1789: cuadre daniela.xlsx

1,620.00380.00

10,000.0014,000.002,750.00

extra financiam. 15,000.00sra maritza P 100.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 44,320.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 3

20.00 0

50.00 12

100.00 14

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,200.001,150.00

SR RICHARD COMIDA 600.00SRA MARITZA-VIATICOS 50.00

DEV-FAC(96164) 650.00

Page 1790: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,650.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 14

20.00 0

50.00 3

100.00 1

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 10,185.001,620.002,200.001,150.00

0.000.000.00

Page 1791: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 15,155.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 0

20.00 0

50.00 2

100.00 0

EFECTIVO

CHEQUE 2,240.000.000.000.000.000.000.000.00

DEBITO/CREDITO 16,240.00650.00

0.000.000.000.000.000.000.000.000.00

Page 1792: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 16,890.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 0

10.00 493

20.00 0

50.00 0

100.00 0

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1793: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 0.00DEPOSITOS

TOTAL ENTREGADO

VENTAS 03 RUTH billetes cantidad

1.00 0

2.00 0

5.00 1

10.00 6

20.00 2

50.00 49

100.00 2

EFECTIVO

CHEQUE 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.00460.00

2,370.001,640.00

SR JORTIN 1,000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,380.00DEPOSITOS

TOTAL ENTREGADO

Page 1794: cuadre daniela.xlsx

1/3/2014total0.00

0.00

10.00

10.00

20.00

0.00

0.00

40.00

0.00

8,830.000.00

8,870.00

1/4/2014total0.00

Page 1795: cuadre daniela.xlsx

0.00

0.00

20.00

540.00

0.00

300.00

860.00

0.00

47,795.000.00

48,655.00

1/7/2014total0.00

0.00

0.00

Page 1796: cuadre daniela.xlsx

200.00

0.00

30,000.00

300.00

30,500.00

0.00

21,250.000.00

51,750.00

1/7/2014total0.00

0.00

15.00

110.00

20.00

250.00

100.00

495.00

Page 1797: cuadre daniela.xlsx

0.00

27,625.000.00

28,120.00

1/9/2014total0.00

0.00

0.00

190.00

40.00

0.00

1,000.00

1,230.00

0.00

Page 1798: cuadre daniela.xlsx

20,445.000.00

21,675.00

1/9/2014total0.00

0.00

0.00

10.00

60.00

950.00

300.00

1,320.00

0.00

Page 1799: cuadre daniela.xlsx

45,724.990.00

47,044.99

1/10/2014total0.00

0.00

0.00

10.00

20.00

150.00

300.00

480.00

0.00

Page 1800: cuadre daniela.xlsx

44,060.000.00

44,540.00

1/11/2014total0.00

0.00

0.00

0.00

0.00

300.00

0.00

300.00

0.00

Page 1801: cuadre daniela.xlsx

5,530.000.00

5,830.00

1/13/2014total0.00

0.00

0.00

10.00

0.00

1,250.00

600.00

1,860.00

0.00

Page 1802: cuadre daniela.xlsx

1,104.990.00

2,964.99

1/14/2014total0.00

0.00

0.00

80.00

80.00

1,000.00

400.00

1,560.00

0.00

12,455.000.00

14,015.00

Page 1803: cuadre daniela.xlsx

1/15/2014total0.00

0.00

5.00

20.00

0.00

0.00

700.00

725.00

0.00

179,520.000.00

180,245.00

Page 1804: cuadre daniela.xlsx

1/16/2014total0.00

0.00

0.00

600.00

100.00

50.00

500.00

1,250.00

0.00

46,365.000.00

47,615.00

Page 1805: cuadre daniela.xlsx

1/17/2014total0.00

4.00

0.00

290.00

0.00

250.00

1,000.00

1,544.00

0.00

12,344.990.00

13,888.99

1/18/2014

Page 1806: cuadre daniela.xlsx

total0.00

0.00

10.00

10.00

160.00

2,650.00

400.00

3,230.00

0.00

31,694.990.00

34,924.99

1/20/2014total0.00

0.00

0.00

10.00

Page 1807: cuadre daniela.xlsx

40.00

0.00

400.00

450.00

0.00

6,940.000.00

7,390.00

1/21/2014total0.00

0.00

0.00

390.00

80.00

300.00

Page 1808: cuadre daniela.xlsx

500.00

1,270.00

0.00

3,009.990.00

4,279.99

1/22/2014total0.00

0.00

0.00

0.00

0.00

950.00

3,900.00

4,850.00

0.00

Page 1809: cuadre daniela.xlsx

31,229.990.00

36,079.99

1/23/2014total0.00

0.00

0.00

10.00

0.00

50.00

0.00

60.00

58,424.97

Page 1810: cuadre daniela.xlsx

690.000.00

59,174.97

1/24/2014total0.00

0.00

0.00

0.00

40.00

0.00

100.00

140.00

0.00

Page 1811: cuadre daniela.xlsx

28,650.000.00

28,790.00

1/25/2014total0.00

0.00

0.00

10.00

0.00

0.00

400.00

410.00

0.00

Page 1812: cuadre daniela.xlsx

22,064.990.00

22,474.99

1/27/2014total0.00

0.00

0.00

0.00

0.00

100.00

900.00

1,000.00

0.00

Page 1813: cuadre daniela.xlsx

44,320.000.00

45,320.00

1/28/2014total0.00

0.00

0.00

30.00

0.00

600.00

1,400.00

2,030.00

0.00

Page 1814: cuadre daniela.xlsx

4,650.000.00

6,680.00

1/29/2014total0.00

0.00

5.00

140.00

0.00

150.00

100.00

395.00

0.00

Page 1815: cuadre daniela.xlsx

15,155.000.00

15,550.00

1/30/2014total0.00

0.00

0.00

0.00

0.00

100.00

0.00

100.00

2,240.00

Page 1816: cuadre daniela.xlsx

16,890.000.00

19,230.00

1/31/2014total0.00

0.00

0.00

4,930.00

0.00

0.00

0.00

4,930.00

0.00

Page 1817: cuadre daniela.xlsx

0.000.00

4,930.00

1/31/2014total0.00

0.00

5.00

60.00

40.00

2,450.00

200.00

2,755.00

0.00

6,380.000.00

9,135.00

Page 1818: cuadre daniela.xlsx

VENTAS 03 RUTH 2/1/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 2 100.00

100.00 0 0.00

EFECTIVO 100.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 50.00FACT. AGUA 100.00

FALTO DEL DIA 31/01/14 50.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 200.00 200.00DEPOSITOS 0.00

TOTAL ENTREGADO 300.00

VENTAS 03 RUTH 2/3/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

Page 1819: cuadre daniela.xlsx

5.00 0 0.00

10.00 0 0.00

20.00 1 20.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 20.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00sraMaritza viaticos 50.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 50.00 50.00DEPOSITOS 0.00

TOTAL ENTREGADO 70.00

VENTAS 03 RUTH 2/25/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 26 520.00

Page 1820: cuadre daniela.xlsx

50.00 2 100.00

100.00 5 500.00

EFECTIVO 1,160.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 130.002,250.002,250.00250.00120.00

1,420.001,070.00

agua 70.00sr Richard 10.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 7,570.00 7,570.00DEPOSITOS 0.00

TOTAL ENTREGADO 8,730.00

VENTAS 03 RUTH 2/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 2 20.00

20.00 3 60.00

50.00 9 450.00

100.00 4 400.00

Page 1821: cuadre daniela.xlsx

EFECTIVO 940.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 569.99265.00180.00960.00390.00870.00260.00

SUBI EN EFECTIVO,4:15 17,050.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 20,544.99 20,544.99DEPOSITOS 0.00

TOTAL ENTREGADO 21,484.99

Page 1822: cuadre daniela.xlsx

VENTAS 03 RUTH 3/5/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 2 40.00

50.00 1 50.00

100.00 0 0.00

EFECTIVO 90.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 440.00110.00

1,600.001,899.99215.00920.00140.00

1,070.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,394.99 6,394.99DEPOSITOS 0.00

TOTAL ENTREGADO 6,484.99

VENTAS 03 RUTH 3/6/2014 billetes cantidad total

1.00 0 0.00

Page 1823: cuadre daniela.xlsx

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 30 600.00

50.00 35 1,750.00

100.00 10 1,000.00

EFECTIVO 3,365.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 370.0060.00

310.003,090.001,800.00680.00499.99

2,200.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,009.99 9,009.99DEPOSITOS 0.00

TOTAL ENTREGADO 12,374.99

VENTAS 03 RUTH 3/7/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 220 2,200.00

20.00 0 0.00

Page 1824: cuadre daniela.xlsx

50.00 0 0.00

100.00 0 0.00

EFECTIVO 2,200.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,200.00

Page 1825: cuadre daniela.xlsx

VENTAS 03 RUTH 3/7/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 220 2,200.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 2,200.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,200.00

Page 1826: cuadre daniela.xlsx

VENTAS 03 RUTH 3/7/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 0 0.00

20.00 3 60.00

50.00 1 50.00

100.00 2 200.00

EFECTIVO 315.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 500.00150.0070.00

195.00195.00

FACTURA 78.00FACTURA 31.54

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,219.54 1,219.54DEPOSITOS 0.00

TOTAL ENTREGADO 1,534.54

VENTAS 03 RUTH 3/8/2014 billetes cantidad total

1.00 0 0.00

Page 1827: cuadre daniela.xlsx

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 2 40.00

50.00 39 1,950.00

100.00 48 4,800.00

EFECTIVO 6,790.00

CHEQUE 0.00 17,029.990.000.000.000.00

fact. Agua 70.0014,759.992,200.00

DEBITO/CREDITO 200.0024,120.00

280.00320.00

3,800.00260.00390.00220.00450.00

4,000.00920.00635.00

2,200.00890.00

DEBITOS Y/O CREDITO 38,685.00 38,685.00DEPOSITOS 0.00

TOTAL ENTREGADO 62,504.99

VENTAS 03 RUTH 3/10/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 3 30.00

Page 1828: cuadre daniela.xlsx

20.00 7 140.00

50.00 13 650.00

100.00 93 9,300.00

EFECTIVO 10,120.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,070.00160.00450.00910.00250.00

16,000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 10,120.00

VENTAS 03 RUTH 3/10/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 3 30.00

20.00 7 140.00

50.00 13 650.00

100.00 94 9,400.00

EFECTIVO 10,220.00

CHEQUE 0.00 0.000.00

Page 1829: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 16,000.00250.00910.00450.00160.00

1,070.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 18,840.00 18,840.00DEPOSITOS 0.00

TOTAL ENTREGADO 29,060.00

VENTAS 03 RUTH 3/11/2014 billetes cantidad total

1.00 0 0.00

2.00 4 8.00

5.00 1 5.00

10.00 1 10.00

20.00 10 200.00

50.00 12 600.00

100.00 34 3,400.00

Page 1830: cuadre daniela.xlsx

EFECTIVO 4,223.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,770.00180.0090.00

840.00920.00390.00

1,370.00220.00

30,500.00sra Maritza 200.00

factura 890.76factura 86.16

0.000.00

DEBITOS Y/O CREDITO 37,456.92 37,456.92DEPOSITOS 0.00

TOTAL ENTREGADO 41,679.92

VENTAS 03 RUTH 3/12/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 2 20.00

20.00 1 20.00

50.00 7 350.00

100.00 43 4,300.00

EFECTIVO 4,690.00

CHEQUE 0.00 0.000.000.000.000.00

Page 1831: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 2,120.00715.00200.00505.97

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,540.97 3,540.97DEPOSITOS 0.00

TOTAL ENTREGADO 8,230.97

VENTAS 03 RUTH 3/13/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 3 30.00

20.00 13 260.00

50.00 50 2,500.00

100.00 1 100.00

EFECTIVO 2,900.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,150.00

Page 1832: cuadre daniela.xlsx

310.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,460.00 1,460.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,360.00

VENTAS 03 RUTH 3/14/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 0 0.00

20.00 6 120.00

50.00 2 100.00

100.00 5 500.00

EFECTIVO 730.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 920.00160.00266.00

5,599.320.00

Page 1833: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,945.32 6,945.32DEPOSITOS 0.00

TOTAL ENTREGADO 7,675.32

VENTAS 03 RUTH 3/15/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 202 2,020.00

20.00 3 60.00

50.00 2 100.00

100.00 54 5,400.00

EFECTIVO 7,580.00

CHEQUE 0.00 3,900.000.000.000.000.00

SR RICHARD 100.001,400.002,400.00

DEBITO/CREDITO 115.00230.00

1,260.001,020.001,490.00360.00920.00

3,500.003,500.00280.00

Page 1834: cuadre daniela.xlsx

165.00505.97505.97709.99

DEBITOS Y/O CREDITO 14,561.93 14,561.93DEPOSITOS 0.00

TOTAL ENTREGADO 26,041.93

VENTAS 03 RUTH 3/17/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 86 860.00

20.00 0 0.00

50.00 14 700.00

100.00 13 1,300.00

EFECTIVO 2,860.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 370.00300.00360.00800.00

1,985.00250.00

1,070.00120.00

0.000.000.000.000.00

Page 1835: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 0.00 0.00

DEPOSITOS 0.00

TOTAL ENTREGADO 2,860.00

VENTAS 03 RUTH 3/17/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 86 860.00

20.00 0 0.00

50.00 14 700.00

100.00 13 1,300.00

EFECTIVO 2,860.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 120.00120.00

1,070.00250.00

1,985.00800.00360.00300.00370.00

FACT 23.240.000.000.000.00

DEBITOS Y/O CREDITO 5,398.24 5,398.24DEPOSITOS 0.00

TOTAL ENTREGADO 8,258.24

Page 1836: cuadre daniela.xlsx

VENTAS 03 RUTH 3/18/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 2 40.00

50.00 28 1,400.00

100.00 16 1,600.00

EFECTIVO 3,080.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 120.0035,200.00

580.002,400.00870.00235.00

1,370.001,150.00

0.00FACT 1,002.75

viaticos sra Maritza 40.000.000.000.00

DEBITOS Y/O CREDITO 42,967.75 42,967.75DEPOSITOS 0.00

TOTAL ENTREGADO 46,047.75

Page 1837: cuadre daniela.xlsx

VENTAS 03 RUTH 3/19/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 31 1,550.00

100.00 150 15,000.00

EFECTIVO 16,580.00

CHEQUE 3,700.00 10,379.516,679.51

0.000.000.000.000.000.00

DEBITO/CREDITO 9,800.00160.00

5,586.001,400.00

viatico 40.00fac 110.00

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 17,096.00 17,096.00DEPOSITOS 0.00

TOTAL ENTREGADO 44,055.51

VENTAS 03 RUTH 3/20/2014 billetes cantidad total

1.00 1 1.00

Page 1838: cuadre daniela.xlsx

2.00 1 2.00

5.00 0 0.00

10.00 0 0.00

20.00 1 20.00

50.00 1 50.00

100.00 1 100.00

EFECTIVO 173.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,849.993,310.001,400.001,276.00220.00120.00

fact. 26.990.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,202.98 9,202.98DEPOSITOS 0.00

TOTAL ENTREGADO 9,375.98

VENTAS 03 RUTH 3/21/2014 billetes cantidad total

1.00 1 1.00

2.00 0 0.00

5.00 0 0.00

10.00 8 80.00

Page 1839: cuadre daniela.xlsx

20.00 1 20.00

50.00 1 50.00

100.00 17 1,700.00

EFECTIVO 1,851.00

CHEQUE 19,436.23 19,436.230.000.000.000.000.000.000.00

DEBITO/CREDITO 80.00635.00

2,400.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,115.00 3,115.00DEPOSITOS 0.00

TOTAL ENTREGADO 24,402.23

VENTAS 03 RUTH 3/22/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 21 1,050.00

100.00 30 3,000.00

Page 1840: cuadre daniela.xlsx

EFECTIVO 4,050.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 400.00600.00

3,509.99400.00635.00290.00300.00635.00380.00375.00

4,150.00extra 3,900.00extra 16,000.00agua 105.00

DEBITOS Y/O CREDITO 31,679.99 31,679.99DEPOSITOS 0.00

TOTAL ENTREGADO 35,729.99

VENTAS 03 RUTH 3/24/2014 billetes cantidad total

1.00 1 1.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 7 350.00

100.00 1 100.00

EFECTIVO 456.00

CHEQUE 0.00 0.000.000.00

Page 1841: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 1,400.001,840.00375.00

RETENCION 502.23RETENCION 44.64

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,161.87 4,161.87DEPOSITOS 0.00

TOTAL ENTREGADO 4,617.87

VENTAS 03 RUTH 3/25/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 3 30.00

20.00 6 120.00

50.00 2 100.00

100.00 0 0.00

EFECTIVO 255.00

CHEQUE 0.00 0.000.000.00

Page 1842: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 1,400.00870.00

SR JORTIN 50.002,425.00120.00

SUBI EN EFECTIVO 30,500.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 35,365.00 35,365.00DEPOSITOS 0.00

TOTAL ENTREGADO 35,620.00

VENTAS 03 RUTH 3/26/2014 billetes cantidad total

1.00 0 0.00

2.00 1 2.00

5.00 3 15.00

10.00 1 10.00

20.00 40 800.00

50.00 9 450.00

100.00 161 16,100.00

EFECTIVO 17,377.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1843: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 120.002,400.002,400.003,325.005,320.00280.00

7,227.817,227.819,250.635,320.005,000.00320.00

5,320.005,320.00

DEBITOS Y/O CREDITO 58,831.25 58,831.25DEPOSITOS 0.00

TOTAL ENTREGADO 76,208.25

VENTAS 03 RUTH 3/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1844: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 5,320.005,320.007,227.815,300.009,250.63

SR RICHARD 100.00SRA MARITZA 40.00

143.99145.00

TRANSFERENCIA 5,320.000.000.000.000.00

DEBITOS Y/O CREDITO 38,167.43 38,167.43DEPOSITOS 0.00

TOTAL ENTREGADO 38,167.43

VENTAS 03 RUTH 3/27/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 92 4,600.00

100.00 0 0.00

EFECTIVO 4,600.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1845: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 1,141.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,141.00 1,141.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,741.00

VENTAS 03 RUTH 3/28/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 28 560.00

50.00 19 950.00

100.00 2 200.00

EFECTIVO 1,725.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 990.002,400.00470.00200.00

Page 1846: cuadre daniela.xlsx

305.97505.97280.00

5,300.00VIATICO SRA MARITZA 50.00

FACTURA 30.00MRW 220.00

0.000.000.00

DEBITOS Y/O CREDITO 10,751.94 10,751.94DEPOSITOS 0.00

TOTAL ENTREGADO 12,476.94

VENTAS 03 RUTH 3/29/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 31 1,550.00

100.00 36 3,600.00

EFECTIVO 5,155.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 5,300.002,400.003,920.00

93.1180.00

2,860.00100.00600.00

FACT-AGUA 105.00

Page 1847: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 15,458.11 15,458.11DEPOSITOS 0.00

TOTAL ENTREGADO 20,613.11

VENTAS 03 RUTH 3/31/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 47 470.00

20.00 1 20.00

50.00 73 3,650.00

100.00 12 1,200.00

EFECTIVO 5,340.00

CHEQUE 0.00 14,570.635,320.009,250.63

0.000.000.000.000.00

DEBITO/CREDITO 560.00120.00360.00230.00540.00110.00

1,370.0035,800.00

0.000.000.000.00

Page 1848: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 39,090.00 39,090.00DEPOSITOS 0.00

TOTAL ENTREGADO 59,000.63

Page 1849: cuadre daniela.xlsx

VENTAS 03 RUTH 4/1/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 8 400.00

100.00 6 600.00

EFECTIVO 0.00 1,030.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 110.001,370.00540.00

1,490.001,400.001,385.00

60.00fact. 20.00fact. 80.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 6,455.00 6,455.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,485.00

VENTAS 03 RUTH 4/2/2014 billetes cantidad total

1.00 1 1.00

Page 1850: cuadre daniela.xlsx

2.00 3 6.00

5.00 0 0.00

10.00 2 20.00

20.00 1 20.00

50.00 3 150.00

100.00 14 1,400.00

EFECTIVO 0.00 1,597.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.0060.0060.00140.00

1,150.0093.11266.00410.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,089.11 3,089.11DEPOSITOS 0.00

TOTAL ENTREGADO 4,686.11

VENTAS 03 RUTH 4/3/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

Page 1851: cuadre daniela.xlsx

50.00 2 100.00

100.00 0 0.00

EFECTIVO 0.00 100.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 390.0055.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 445.00 445.00DEPOSITOS 0.00

TOTAL ENTREGADO 545.00

VENTAS 03 RUTH 4/4/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 0 0.00

50.00 11 550.00

100.00 36 3,600.00

EFECTIVO 0.00 4,160.00

CHEQUE 0.00 27,831.2527,831.25

Page 1852: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 1,385.001,385.00635.00

15,900.00120.00

1,499.991,770.00110.00930.00345.99600.00

1,199.990.000.00

DEBITOS Y/O CREDITO 25,880.97 25,880.97DEPOSITOS 0.00

TOTAL ENTREGADO 57,872.22

VENTAS 03 RUTH 4/5/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 3 30.00

20.00 6 120.00

50.00 8 400.00

100.00 11 1,100.00

EFECTIVO 0.00 1,650.00

Page 1853: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,700.00635.00135.00120.00

agua 70.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,660.00 4,660.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,310.00

VENTAS 03 RUTH 4/7/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 1 20.00

50.00 1 50.00

100.00 9 900.00

EFECTIVO 0.00 970.00

CHEQUE 0.00 0.000.000.000.000.00

Page 1854: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 325.001,770.003,830.001,770.00990.0080.00

1,490.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,255.00 10,255.00DEPOSITOS 0.00

TOTAL ENTREGADO 11,225.00

VENTAS 03 RUTH 4/8/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 1 100.00

EFECTIVO 0.00 100.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 125.001,700.00

Page 1855: cuadre daniela.xlsx

1,020.00659.99

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,504.99 3,504.99DEPOSITOS 0.00

TOTAL ENTREGADO 3,604.99

VENTAS 03 RUTH 4/9/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 80 800.00

20.00 0 0.00

50.00 0 0.00

100.00 5 500.00

EFECTIVO 0.00 1,305.00

CHEQUE 0.00 8,852.827,227.81

DEPOSITOS 1,625.010.000.000.000.000.00

DEBITO/CREDITO 3,700.00100.00670.00

0.000.000.00

Page 1856: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,470.00 4,470.00DEPOSITOS 0.00

TOTAL ENTREGADO 14,627.82

VENTAS 03 RUTH 4/10/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 3 15.00

10.00 4 40.00

20.00 1 20.00

50.00 11 550.00

100.00 15 1,500.00

EFECTIVO 0.00 2,125.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 60.00650.00

3,700.00265.0093.1193.11715.00635.0055.00

tranferencia 2,115.18

Page 1857: cuadre daniela.xlsx

retencion 184.820.000.000.00

DEBITOS Y/O CREDITO 8,566.22 8,566.22DEPOSITOS 0.00

TOTAL ENTREGADO 10,691.22

VENTAS 03 RUTH 4/11/2014 billetes cantidad total

1.00 0 0.00

2.00 2 4.00

5.00 5 25.00

10.00 1 10.00

20.00 1 20.00

50.00 0 0.00

100.00 2 200.00

EFECTIVO 0.00 259.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 325.00870.00

0.000.000.000.000.000.000.000.000.000.000.000.00

Page 1858: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 1,195.00 1,195.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,454.00

VENTAS 03 RUTH 4/12/2014 billetes cantidad total

1.00 0 0.00

2.00 2 4.00

5.00 0 0.00

10.00 2 20.00

20.00 0 0.00

50.00 5 250.00

100.00 0 0.00

EFECTIVO 0.00 274.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 500.006,390.00230.00

6,490.00625.00

2,620.002,450.00910.00

0.00AGUA 70.00

0.000.000.000.00

DEBITOS Y/O CREDITO 20,285.00 20,285.00DEPOSITOS 0.00

TOTAL ENTREGADO 20,559.00

Page 1859: cuadre daniela.xlsx

VENTAS 03 RUTH 4/14/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 7 140.00

50.00 3 150.00

100.00 11 1,100.00

EFECTIVO 0.00 1,405.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 460.00285.00

2,450.002,700.00

93.11370.00505.0080.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,943.11 6,943.11DEPOSITOS 0.00

TOTAL ENTREGADO 8,348.11

VENTAS 03 RUTH 4/15/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

Page 1860: cuadre daniela.xlsx

5.00 0 0.00

10.00 36 360.00

20.00 8 160.00

50.00 0 0.00

100.00 1 100.00

EFECTIVO 0.00 620.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,081.001,385.00370.00505.00370.00395.00370.00120.00460.00

1,700.00505.00

0.000.000.00

DEBITOS Y/O CREDITO 8,261.00 8,261.00DEPOSITOS 0.00

TOTAL ENTREGADO 8,881.00

VENTAS 03 RUTH 4/16/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 98 980.00

20.00 0 0.00

Page 1861: cuadre daniela.xlsx

50.00 9 450.00

100.00 6 600.00

EFECTIVO 0.00 2,035.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 505.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 505.00 505.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,540.00

VENTAS 03 RUTH 4/21/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 980.00

20.00 35 700.00

50.00 6 300.00

100.00 3 300.00

EFECTIVO 0.00 2,285.00

CHEQUE 0.00 0.00

Page 1862: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 17,350.02310.00

6,750.00285.00265.00

1,370.00505.00

2,539.99910.00

0.000.000.000.000.00

DEBITOS Y/O CREDITO 30,285.01 30,285.01DEPOSITOS 0.00

TOTAL ENTREGADO 32,570.01

VENTAS 03 RUTH 4/22/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 0 0.00

50.00 1 50.00

100.00 5 500.00

EFECTIVO 0.00 590.00

CHEQUE 0.00 0.000.000.000.00

Page 1863: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 9,987.0015,000.001,035.00265.00565.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 26,852.00 26,852.00DEPOSITOS 0.00

TOTAL ENTREGADO 27,442.00

VENTAS 03 RUTH 4/23/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 2 0.00

20.00 39 780.00

50.00 11 550.00

100.00 2 200.00

EFECTIVO 0.00 1,535.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 475.00

Page 1864: cuadre daniela.xlsx

240.003,700.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,415.00 4,415.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,950.00

VENTAS 03 RUTH 4/24/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 1 0.00

20.00 0.00

50.00 0 0.00

100.00 6 600.00

EFECTIVO 0.00 605.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 930.003,700.00

factura 100.000.00

Page 1865: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,730.00 4,730.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,335.00

VENTAS 03 RUTH 4/25/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 265.00260.00

2,190.00260.00

0.000.000.000.00

Page 1866: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,975.00 2,975.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,975.00

VENTAS 03 RUTH 4/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 2 100.00

100.00 2 200.00

EFECTIVO 0.00 305.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 260.001,080.00990.00480.00

7,445.000.000.000.000.000.000.000.000.00

Page 1867: cuadre daniela.xlsx

0.00DEBITOS Y/O CREDITO 10,255.00 10,255.00

DEPOSITOS 0.00

TOTAL ENTREGADO 10,560.00

VENTAS 03 RUTH 4/28/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 0.00

20.00 0 0.00

50.00 6 300.00

100.00 21 2,100.00

EFECTIVO 0.00 2,400.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,000.00370.00260.00

17,990.0060.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 19,680.00 19,680.00DEPOSITOS 0.00

TOTAL ENTREGADO 22,080.00

Page 1868: cuadre daniela.xlsx

VENTAS 03 RUTH 4/29/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 0.00

10.00 1 0.00

20.00 11 220.00

50.00 41 2,050.00

100.00 26 2,600.00

EFECTIVO 0.00 4,870.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 395.0017,990.00

790.00260.00575.00

SR RICHARD TAXI 100.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 20,110.00 20,110.00DEPOSITOS 0.00

TOTAL ENTREGADO 24,980.00

Page 1869: cuadre daniela.xlsx

VENTAS 03 RUTH 4/30/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 0 0.00

50.00 5 250.00

100.00 8 800.00

EFECTIVO 0.00 1,060.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 485.00540.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,025.00 1,025.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,085.00

Page 1870: cuadre daniela.xlsx

VENTAS 03 RUTH 5/2/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 0.00

20.00 8 160.00

50.00 1 50.00

100.00 2 200.00

EFECTIVO 0.00 410.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,700.00190.00575.00

1,375.00398(50)subi en efectivo 19,900.00

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 25,740.00 25,740.00DEPOSITOS 0.00

TOTAL ENTREGADO 26,150.00

VENTAS 03 RUTH 5/3/2014 billetes cantidad total

1.00 0 0.00

2.00 1 2.00

Page 1871: cuadre daniela.xlsx

5.00 1 5.00

10.00 3 30.00

20.00 2 40.00

50.00 74 3,700.00

100.00 41 4,100.00

EFECTIVO 0.00 7,877.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,585.002,990.00395.00460.00

3,700.003,190.001,025.00460.00

1,065.00FACT. AGUA 105.00

0.000.000.000.00

DEBITOS Y/O CREDITO 14,975.00 14,975.00DEPOSITOS 0.00

TOTAL ENTREGADO 22,852.00

VENTAS 03 RUTH 5/5/2014 billetes cantidad total

1.00 0 0.00

2.00 6 12.00

5.00 4 20.00

10.00 67 670.00

20.00 5 100.00

50.00 7 350.00

100.00 3 300.00

Page 1872: cuadre daniela.xlsx

EFECTIVO 0.00 1,452.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 535.00266.00200.00

2,180.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,181.00 3,181.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,633.00

VENTAS 03 RUTH 5/5/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 0 0.00

10.00 0 0.00

20.00 24 480.00

50.00 13 650.00

100.00 87 8,700.00

EFECTIVO 0.00 9,835.00

CHEQUE 0.00 0.000.000.000.00

Page 1873: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 125.0010,915.00

30.001,370.003,190.00

EXTRA-CREDITO 43,300.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 58,930.00 58,930.00DEPOSITOS 0.00

TOTAL ENTREGADO 68,765.00

VENTAS 03 RUTH 5/6/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 102 1,020.00

20.00 353 7,060.00

50.00 104 5,200.00

100.00 93 9,300.00

EFECTIVO 0.00 22,580.00

CHEQUE 7,859.99 7,859.990.000.000.000.000.000.000.00

Page 1874: cuadre daniela.xlsx

DEBITO/CREDITO 0.003,170.00240.00379.99240.00995.00

5,979.990.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,004.98 11,004.98DEPOSITOS 0.00

TOTAL ENTREGADO 41,444.97

VENTAS 03 RUTH 5/7/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 0 0.00

20.00 7 140.00

50.00 20 1,000.00

100.00 10 1,000.00

EFECTIVO 0.00 2,150.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,565.00180.00

3,529.991,565.00

Page 1875: cuadre daniela.xlsx

2,120.002,294.993,190.00

FACTURA ANDRY 510.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,954.98 14,954.98DEPOSITOS 0.00

TOTAL ENTREGADO 17,104.98

VENTAS 03 RUTH 5/8/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 10 100.00

20.00 4 80.00

50.00 2 100.00

100.00 3 300.00

EFECTIVO 0.00 580.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 656.002,675.001,300.00190.00

2,350.0043,300.00

240.00

Page 1876: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 50,711.00 50,711.00DEPOSITOS 0.00

TOTAL ENTREGADO 51,291.00

VENTAS 03 RUTH 5/9/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 14 140.00

20.00 6 120.00

50.00 2 100.00

100.00 0 0.00

EFECTIVO 0.00 365.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 600.001,370.00635.00240.00

1,425.003,529.99

ANDRY VIATICO 100.000.000.000.00

Page 1877: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 7,899.99 7,899.99DEPOSITOS 0.00

TOTAL ENTREGADO 8,264.99

VENTAS 03 RUTH 5/10/2014 billetes cantidad total

1.00 0 0.00

2.00 3 6.00

5.00 0 0.00

10.00 1 10.00

20.00 4 80.00

50.00 0 0.00

100.00 1 100.00

EFECTIVO 0.00 196.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 965.00600.00

1,425.001,080.001,950.00480.00

1,105.00350.00

5,440.00870.00325.00

CREDI-FACIL 4,640.000.000.00

Page 1878: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 19,230.00 19,230.00DEPOSITOS 0.00

TOTAL ENTREGADO 19,426.00

VENTAS 03 RUTH 5/12/2014 billetes cantidad total

1.00 0 0.00

2.00 100 200.00

5.00 8 40.00

10.00 41 410.00

20.00 0 0.00

50.00 20 1,000.00

100.00 6 600.00

EFECTIVO 0.00 2,250.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,559.99215.00

3,830.00955.00380.00120.00

4,280.00COBRO ADELANTADO 4,000.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 15,339.99 15,339.99DEPOSITOS 0.00

TOTAL ENTREGADO 17,589.99

Page 1879: cuadre daniela.xlsx

VENTAS 03 RUTH 5/13/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 3 30.00

20.00 0 0.00

50.00 0 0.00

100.00 1 100.00

EFECTIVO 0.00 130.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,580.00475.00535.00

3,000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,590.00 5,590.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,720.00

Page 1880: cuadre daniela.xlsx

VENTAS 03 RUTH 5/14/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 2 20.00

20.00 0 0.00

50.00 0 0.00

100.00 10 1,000.00

EFECTIVO 0.00 1,025.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,565.00735.00535.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,835.00 2,835.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,860.00

VENTAS 03 RUTH 5/15/2014 billetes cantidad total

Page 1881: cuadre daniela.xlsx

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 103 1,030.00

20.00 45 900.00

50.00 150 7,500.00

100.00 45 4,500.00

EFECTIVO 0.00 13,930.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 13,930.00

VENTAS 03 RUTH 5/15/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1882: cuadre daniela.xlsx

10.00 100 1,000.00

20.00 100 2,000.00

50.00 0 0.00

100.00 230 23,000.00

EFECTIVO 0.00 26,000.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 26,000.00

VENTAS 03 RUTH 5/15/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 0 0.00

100.00 6 600.00

EFECTIVO 0.00 630.00

Page 1883: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 738.00338.00

10,171.427,785.603,830.00120.00

1,349.995,209.995,209.997,785.008,949.86

0.000.000.00

DEBITOS Y/O CREDITO 51,487.85 51,487.85DEPOSITOS 0.00

TOTAL ENTREGADO 52,117.85

VENTAS 03 RUTH 5/16/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 2 200.00

EFECTIVO 0.00 205.00

CHEQUE 0.00 0.000.000.000.00

Page 1884: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 1,520.00500.0085.0060.00265.00

17,990.00caja/gerencia 29,477.85

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 49,897.85 49,897.85DEPOSITOS 0.00

TOTAL ENTREGADO 50,102.85

VENTAS 03 RUTH 5/17/2014 billetes cantidad total

1.00 1 1.00

2.00 2 4.00

5.00 4 20.00

10.00 6 60.00

20.00 5 100.00

50.00 14 700.00

100.00 7 700.00

EFECTIVO 0.00 1,585.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 75.00620.00

Page 1885: cuadre daniela.xlsx

500.001,425.00320.00656.00

5,090.0021,275.00

AGUA 80.00COMIDA JC 180.00

VIATICO S/F JC 120.000.000.000.00

DEBITOS Y/O CREDITO 30,341.00 30,341.00DEPOSITOS 0.00

TOTAL ENTREGADO 31,926.00

VENTAS 03 RUTH 5/19/2014 billetes cantidad total

1.00 0 0.00

2.00 4 8.00

5.00 2 10.00

10.00 1 10.00

20.00 93 1,860.00

50.00 33 1,650.00

100.00 13 1,300.00

EFECTIVO 0.00 4,838.00

CHEQUE 0.00 7,660.623,522.234,138.39

0.000.000.000.000.00

DEBITO/CREDITO 120.001,425.001,565.001,425.00120.00120.0090.0060.00

Page 1886: cuadre daniela.xlsx

FACT. 23.00SR J. 55.00

SRA MARITZA VIATICO 40.000.000.000.00

DEBITOS Y/O CREDITO 5,043.00 5,043.00DEPOSITOS 0.00

TOTAL ENTREGADO 17,541.62

VENTAS 03 RUTH 5/20/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 2 20.00

20.00 0 0.00

50.00 1 50.00

100.00 0 0.00

EFECTIVO 0.00 70.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 435.00910.00

1,080.001,070.003,984.99120.00120.00

3,269.99SRA SUILVIDA 500.00

0.000.000.00

Page 1887: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 11,489.98 11,489.98DEPOSITOS 0.00

TOTAL ENTREGADO 11,559.98

VENTAS 03 RUTH 5/21/2014 billetes cantidad total

1.00 1 1.00

2.00 4 8.00

5.00 1 5.00

10.00 10 100.00

20.00 1 20.00

50.00 9 450.00

100.00 30 3,000.00

EFECTIVO 0.00 3,584.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,990.00910.00266.00

ANDRY 120.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,286.00 4,286.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,870.00

Page 1888: cuadre daniela.xlsx

VENTAS 03 RUTH 5/22/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 2 100.00

100.00 11 1,100.00

EFECTIVO 0.00 1,200.00

CHEQUE 0.00 21,275.0021,275.00

0.000.000.000.000.000.00

DEBITO/CREDITO 650.00825.00

2,990.002,620.00365.00

1,740.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,190.00 9,190.00DEPOSITOS 0.00

TOTAL ENTREGADO 31,665.00

VENTAS 03 RUTH 5/23/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

Page 1889: cuadre daniela.xlsx

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 37 1,850.00

100.00 0.00

EFECTIVO 0.00 1,855.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 240.003,530.00390.00

3,830.00950.00

vale-angelica 300.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,240.00 9,240.00DEPOSITOS 0.00

TOTAL ENTREGADO 11,095.00

VENTAS 03 RUTH 5/24/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 1 20.00

50.00 6 300.00

100.00 7 700.00

Page 1890: cuadre daniela.xlsx

EFECTIVO 0.00 1,025.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 5,925.0060.00

1,740.001,580.00550.00

1,425.00390.00270.00

36,171.42agua 80.00

0.000.000.000.00

DEBITOS Y/O CREDITO 48,191.42 48,191.42DEPOSITOS 0.00

TOTAL ENTREGADO 49,216.42

VENTAS 03 RUTH 5/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 3 30.00

20.00 3 60.00

50.00 39 1,950.00

100.00 6 600.00

EFECTIVO 0.00 2,640.00

CHEQUE 0.00 0.000.000.000.00

Page 1891: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 100.0034,000.00

535.00andry-viatico 120.00

fact. 170.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 34,925.00 34,925.00DEPOSITOS 0.00

TOTAL ENTREGADO 37,565.00

VENTAS 03 RUTH 5/27/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 2 20.00

20.00 1 20.00

50.00 2 100.00

100.00 4 400.00

EFECTIVO 0.00 545.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 575.00110.00

Page 1892: cuadre daniela.xlsx

1,740.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,425.00 2,425.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,970.00

VENTAS 03 RUTH 5/28/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 3 60.00

50.00 14 700.00

100.00 3 300.00

EFECTIVO 0.00 1,070.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 34,000.002,990.002,280.00

EXTRA 2,445.00ANGELICA 362.00

0.000.000.00

Page 1893: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 42,077.00 42,077.00DEPOSITOS 0.00

TOTAL ENTREGADO 43,147.00

VENTAS 03 RUTH 5/29/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 2 100.00

100.00 9 900.00

EFECTIVO 0.00 1,000.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 6,500.00290.00120.00

1,180.00ANDRY 100.00VIEJO 70.00

0.000.000.000.000.000.000.000.00

Page 1894: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 8,260.00 8,260.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,260.00

VENTAS 03 RUTH 5/30/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,700.003,700.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,400.00 7,400.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,400.00

6

Page 1895: cuadre daniela.xlsx

VENTAS 03 RUTH 5/31/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 1 20.00

50.00 2 100.00

100.00 7 700.00

EFECTIVO 0.00 860.00

CHEQUE 0.00 815.000.000.000.000.000.00

RUTH/MI TARJ. BLOQUEADA 500.00315.00

DEBITO/CREDITO 400.00420.00

1,605.001,310.00656.00460.00

2,411.991,615.00729.99

2,180.00955.00

1,000.001,105.00120.00

DEBITOS Y/O CREDITO 14,967.98 14,967.98DEPOSITOS 0.00

TOTAL ENTREGADO 16,642.98

Page 1896: cuadre daniela.xlsx

tiendita daniela 11/7/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 1 0.00

50.00 1 0.00

100.00 3 0.00

EFECTIVO 0.00 370.00

CHEQUE 0.00 0.000.00 0.000.00 0.000.000.000.000.000.00

DEBITO/CREDITO 340.00650.00

0.000.000.00

PAGO SR. SOCRATES 0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 990.00 990.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,360.00

tiendita daniela 11/11/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1897: cuadre daniela.xlsx

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 8 800.00

EFECTIVO 0.00 800.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,600.000.000.00

0.00 0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,600.00 1,600.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,400.00

TIENDITA DANIELA 11/12/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.00

Page 1898: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,315.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,315.00 1,315.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,315.00

tiendita daniela 11/13/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 2 20.00

20.00 0 0.00

50.00 2 100.00

100.00 2 200.00

EFECTIVO 0.00 325.00

CHEQUE 0.00 0.000.000.000.000.000.000.00

Page 1899: cuadre daniela.xlsx

0.00DEBITO/CREDITO 0.00

0.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 325.00

TIENDITA DANIELA 11/14/2014 billetes cantidad total

1.00 0 0.00

2.00 3 6.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 7 700.00

EFECTIVO 0.00 706.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,955.003,520.00

Page 1900: cuadre daniela.xlsx

0.000.000.000.000.000.00

0.00 0.000.00 0.000.00 0.00

0.000.000.00

DEBITOS Y/O CREDITO 5,475.00 5,475.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,181.00

TIENDITA DANIELA 11/15/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,520.00650.00

3,420.000.000.00

0 0.000.000.00

Page 1901: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,590.00 7,590.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,590.00

DANIELA TIENDITA 6/9/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 2 40.00

50.00 0 0.00

100.00 2 200.00

EFECTIVO 0.00 240.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

Page 1902: cuadre daniela.xlsx

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 240.00

TIENDITA DANIELA 11/19/2014 billetes cantidad total

1.00 2 2.00

2.00 4 8.00

5.00 1 5.00

10.00 3 30.00

20.00 0 0.00

50.00 4 200.00

100.00 19 1,900.00

EFECTIVO 0.00 2,145.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,145.00

Page 1903: cuadre daniela.xlsx

daniela tiendita 11/20/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 0 0.00

50.00 1 50.00

100.00 10 1,000.00

EFECTIVO 0.00 1,090.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,090.00

tiendita daniela 11/21/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 23 230.00

Page 1904: cuadre daniela.xlsx

20.00 21 420.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 650.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.00

SRA MARITZA 0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 650.00

TIENDITA DANIELA 11/22/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.00

Page 1905: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 1,065.001,065.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,130.00 2,130.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,130.00

TIENTIDA DANIELA 11/25/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 59 590.00

20.00 4 80.00

50.00 1 50.00

100.00 11 1,100.00

EFECTIVO 0.00 1,820.00

CHEQUE 0.00 0.000.000.000.000.000.000.00

Page 1906: cuadre daniela.xlsx

0.00DEBITO/CREDITO 10,900.00

2,890.00675.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,465.00 14,465.00DEPOSITOS 0.00

TOTAL ENTREGADO 16,285.00

TIENDITA DANIELA 11/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 91 910.00

20.00 3 60.00

50.00 1 50.00

100.00 27 2,700.00

EFECTIVO 0.00 3,720.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,310.002,400.001,115.001,080.004,200.00

Page 1907: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,105.00 10,105.00DEPOSITOS 0.00

TOTAL ENTREGADO 13,825.00

TIENDITA DANIELA 11/27/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 6 60.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 60.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 900.00205.00

1,310.001,780.00

0.000.000.000.000.000.00

Page 1908: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 4,195.00 4,195.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,255.00

Page 1909: cuadre daniela.xlsx

tiendita daniela 11/28/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,995.001,010.00

0.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,005.00 3,005.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,005.00

TIENDITA DANIELA 11/29/2014 billetes cantidad total

Page 1910: cuadre daniela.xlsx

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 1 20.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 20.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,110.00760.00

0.000.00

TRANSFERENCIA 0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,870.00 2,870.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,890.00

TIENDITA DANIELA 12/2/2014 billetes cantidad total

1.00 0 0.00

2.00 2 4.00

Page 1911: cuadre daniela.xlsx

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 7 350.00

100.00 2 200.00

EFECTIVO 0.00 584.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,600.002,310.00515.00500.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,925.00 5,925.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,509.00

tiendita daniela 12/4/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

Page 1912: cuadre daniela.xlsx

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 365.000.000.00

angelica 0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 365.00 365.00DEPOSITOS 0.00

TOTAL ENTREGADO 365.00

tiendita daniela 12/4/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.00

Page 1913: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 2,310.002,040.00

0.000.00

0.00 0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,350.00 4,350.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,350.00

tiendita daniela 11/5/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 480.00

Page 1914: cuadre daniela.xlsx

0.000.00 0.00

0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 480.00 480.00DEPOSITOS 0.00

TOTAL ENTREGADO 480.00

TIENDITA DANIELA 11/6/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 1 50.00

100.00 10 1,000.00

EFECTIVO 0.00 1,080.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00DEL PUNTO SON PARA S/F 0.00

EXTRA-F. 0.000.000.000.000.00

Page 1915: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,080.00

tiendita daniela 11/9/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,280.001,090.00600.00

0.000.000.000.000.000.000.000.00

Page 1916: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 5,970.00 5,970.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,970.00

tiendita daniela 12/10/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 515.000.00 2,160.000.00 205.000.00 0.00

0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,880.00 2,880.00

Page 1917: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 2,880.00

tiendita daniela 12/12/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 2 20.00

20.00 2 40.00

50.00 22 1,100.00

100.00 4 400.00

EFECTIVO 0.00 1,560.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,560.00

Page 1918: cuadre daniela.xlsx

daniela tiendita 12/13/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,280.001,600.001,615.00

0.000.00

0 0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,495.00 7,495.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,495.00

TIENDITA DANIELA 12/16/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1919: cuadre daniela.xlsx

10.00 0 0.00

20.00 2 40.00

50.00 0 0.00

100.00 4 400.00

EFECTIVO 0.00 440.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,060.005,805.00710.00

sr J 0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,575.00 8,575.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,015.00

tiendita daniela 12/17/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 66 1,320.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 1,320.00

CHEQUE 0.00 0.00

Page 1920: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITO/CREDITO 2,110.002,890.003,520.00300.00

EXTRA 0.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,820.00 8,820.00DEPOSITOS 0.00

TOTAL ENTREGADO 10,140.00

DANIELA TIENDITA 12/19/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1921: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 1,090.0080.00340.00

ANDRY 1,225.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,735.00 2,735.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,735.00

TIENDITA DANIELA 12/20/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,400.002,400.001,080.00

Page 1922: cuadre daniela.xlsx

0.00 0.000.000.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,880.00 5,880.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,880.00

TIENDITA DANIELA 12/23/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 0 0.00

20.00 2 40.00

50.00 0 0.00

100.00 88 8,800.00

EFECTIVO 0.00 8,850.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 600.00JORTIN 705.00

0.00 0.00

0.000.00

0.00

Page 1923: cuadre daniela.xlsx

ANDRY 0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,305.00 1,305.00DEPOSITOS 0.00

TOTAL ENTREGADO 10,155.00

tiendita daniela 12/26/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 0 0.00

50.00 11 550.00

100.00 1 100.00

EFECTIVO 0.00 655.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 360.003,520.00

ANDRY 3,520.00630.00

0.000.000.000.00

JORTI 0.000.000.000.00

Page 1924: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 8,030.00 8,030.00DEPOSITOS 0.00

TOTAL ENTREGADO 8,685.00

TIENDITA DANIELA 12/27/2014 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,890.000.00

0.000.000.000.000.000.00

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,890.00 2,890.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,890.00

Page 1925: cuadre daniela.xlsx

TIENDITA DANIELA 1/27/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 54 540.00

20.00 19 380.00

50.00 2 100.00

100.00 2 200.00

EFECTIVO 0.00 1,220.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.000.00

0.000.00 0.000.00 0.00

0 0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 910.00 910.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,130.00

4135

TIENDITA DANIELA 1/28/2015 billetes cantidad total

1.00 0 0.00

Page 1926: cuadre daniela.xlsx

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 0 0.00

50.00 20 1,000.00

100.00 31 3,100.00

EFECTIVO 0.00 4,115.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 170.000.00 675.000.00 0.00

0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 845.00 845.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,960.00

TIENDITA DANIELA 1/29/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 2 40.00

50.00 46 2,300.00

100.00 11 1,100.00

Page 1927: cuadre daniela.xlsx

EFECTIVO 0.00 3,440.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 990.00 1,680.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,670.00 2,670.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,110.00

tiendita daniela 1/30/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 8 160.00

50.00 0 0.00

100.00 11 1,100.00

EFECTIVO 0.00 1,260.00

CHEQUE 0.00 0.000.000.000.000.00

Page 1928: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 2,000.000.00 1,315.000.00 2,890.000.00 260.00

2,030.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,495.00 8,495.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,755.00

DANIELA TIENDITA 31/0/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 2 40.00

50.00 0 0.00

100.00 12 1,200.00

EFECTIVO 0.00 1,280.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 400.002,090.001,025.00

Page 1929: cuadre daniela.xlsx

0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,515.00 3,515.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,795.00

tiendita daniela 2/3/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 12 1,200.00

EFECTIVO 0.00 1,200.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.00

0.00ANDRY 0.00

0.000.000.00

Page 1930: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,200.00

tiendita daniela 2/4/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,545.000.000.000.00

0.00ANDRY 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,545.00 3,545.00

Page 1931: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 3,545.00

TIENDITA DANIELA 2/5/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 8 800.00

EFECTIVO 0.00 800.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.000.000.000.00

0.00ANDRY 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 800.00

DANIELA TIENDITA 2/6/2015 billetes cantidad total

Page 1932: cuadre daniela.xlsx

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 340.001,230.00130.00800.00

0.00ANDRY 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,500.00 2,500.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,500.00

DANIELA TIENDITA 2/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

Page 1933: cuadre daniela.xlsx

50.00 4 200.00

100.00 119 11,900.00

EFECTIVO 0.00 12,100.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,645.002,595.00

0.000.00

0.00ANDRY 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,240.00 4,240.00DEPOSITOS 0.00

TOTAL ENTREGADO 16,340.00

DANIELA TIENDITA 2/10/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00

CHEQUE 0.00 0.000.00

Page 1934: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITO/CREDITO 130.000.000.000.00

0.00ANDRY 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 130.00 130.00DEPOSITOS 0.00

TOTAL ENTREGADO 130.00

TIENDITA DANIELA 2/11/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 6 300.00

100.00 23 2,300.00

EFECTIVO 0.00 2,630.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

Page 1935: cuadre daniela.xlsx

DEBITO/CREDITO 2,845.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,845.00 2,845.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,475.00

TIENDITA DANIELA 2/12/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 3 60.00

50.00 0 0.00

100.00 9 900.00

EFECTIVO 0.00 965.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,490.00 910.00 1,370.00 0.00 0.00

Page 1936: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,770.00 4,770.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,735.00

TIENDITA DANIELA 2/13/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 1 20.00

50.00 2 100.00

100.00 3 300.00

EFECTIVO 0.00 435.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,025.00 360.00 0.00 0.00 0.00 0.00

0.000.000.000.00

Page 1937: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 1,385.00 1,385.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,820.00

TIENDITA DANIELA 2/18/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 955.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 955.00 955.00

Page 1938: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 955.00

TIENDITA DANIELA 2/19/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,000.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,000.00 1,000.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,000.00

Page 1939: cuadre daniela.xlsx

TIENDITA DANIELA 2/20/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 1 50.00

100.00 20 2,000.00

EFECTIVO 0.00 2,050.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 170.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 170.00 170.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,220.00

TIENDITA DANIELA 2/24/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

Page 1940: cuadre daniela.xlsx

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,475.00 1,185.00 175.00 3,815.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,650.00 6,650.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,650.00

TIENDITA DANIELA 2/25/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

Page 1941: cuadre daniela.xlsx

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

TIENDITA DANIELA 2/26/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 5 250.00

100.00 0 0.00

EFECTIVO 0.00 250.00

CHEQUE 0.00 0.000.000.000.00

Page 1942: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 910.00 140.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,050.00 1,050.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,300.00

TIENDITA DANIELA 2/27/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

Page 1943: cuadre daniela.xlsx

DEBITO/CREDITO 890.00 2,660.00 1,675.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,225.00 5,225.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,225.00

TIENDITA DANIELA 2/28/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 2 40.00

50.00 8 400.00

100.00 11 1,100.00

EFECTIVO 0.00 1,540.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,390.00 0.00 0.00 0.00 0.00

Page 1944: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,390.00 2,390.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,930.00

TIENDITA DANIELA 2/3/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,135.00 2,150.00 2,540.00 1,940.00 0.00 0.00

0.000.000.000.00

Page 1945: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 8,765.00 8,765.00DEPOSITOS 0.00

TOTAL ENTREGADO 8,765.00

TIENDITA DANIELA 2/4/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,115.00 670.00 1,030.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,815.00 2,815.00

Page 1946: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 2,815.00

TIENDITA DANIELA 2/5/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 530.00 175.00 2,490.00 1,370.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,565.00 4,565.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,565.00

Page 1947: cuadre daniela.xlsx

TIENDITA DANIELA 2/6/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 0 0.00

50.00 1 50.00

100.00 44 4,400.00

EFECTIVO 0.00 4,490.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,540.00 955.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,495.00 3,495.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,985.00

TIENDITA DANIELA 3/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

Page 1948: cuadre daniela.xlsx

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,260.00 905.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,165.00 2,165.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,165.00

TIENDITA DANIELA 3/10/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

Page 1949: cuadre daniela.xlsx

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,160.00 1,800.00 2,630.00 1,025.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 8,615.00 8,615.00DEPOSITOS 0.00

TOTAL ENTREGADO 8,615.00

TIENDITA DANIELA 3/11/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.00

Page 1950: cuadre daniela.xlsx

0.000.000.000.000.00

DEBITO/CREDITO 2,310.00 1,615.00 1,645.00 1,600.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,170.00 7,170.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,170.00

TIENDITA DANIELA 3/12/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 10 200.00

50.00 6 300.00

100.00 2 200.00

EFECTIVO 0.00 740.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

Page 1951: cuadre daniela.xlsx

DEBITO/CREDITO 2,000.00 1,845.00 1,645.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,490.00 5,490.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,230.00

TIENDITA DANIELA 3/13/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,990.00 2,794.00 0.00 0.00 0.00

Page 1952: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,784.00 4,784.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,784.00

TIENDITA DANIELA 3/14/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,200.00 16,510.00 0.00 0.00 0.00 0.00

0.000.000.000.00

Page 1953: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 17,710.00 17,710.00DEPOSITOS 0.00

TOTAL ENTREGADO 17,710.00

TIENDITA DANIELA 3/18/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,595.00 830.00 1,200.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,625.00 4,625.00

Page 1954: cuadre daniela.xlsx

DEPOSITOS 0.00

TOTAL ENTREGADO 4,625.00

TIENDITA DANIELA 3/19/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 800.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 800.00 800.00DEPOSITOS 0.00

TOTAL ENTREGADO 800.00

Page 1955: cuadre daniela.xlsx

TIENDITA DANIELA 3/20/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 2 20.00

20.00 0 0.00

50.00 3 150.00

100.00 0 0.00

EFECTIVO 0.00 170.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00 995.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,165.00

TIENDITA DANIELA 3/21/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1956: cuadre daniela.xlsx

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 450.00 1,645.00 365.00 170.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,630.00 2,630.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,630.00

TIENDITA DANIELA 3/24/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 1 20.00

50.00 20 1,000.00

100.00 0 0.00

EFECTIVO 0.00 1,025.00

Page 1957: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00 995.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,020.00

TIENDITA DANIELA 3/25/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.00

Page 1958: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 0.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 0.00

TIENDITA DANIELA 3/26/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 515.00

Page 1959: cuadre daniela.xlsx

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 515.00 515.00DEPOSITOS 0.00

TOTAL ENTREGADO 515.00

TIENDITA DANIELA 3/31/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 0.00 0.00 0.00 0.00 0.00

Page 1960: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00 995.00DEPOSITOS 0.00

TOTAL ENTREGADO 995.00

TIENDITA DANIELA 4/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 98 980.00

20.00 0 0.00

50.00 0 0.00

100.00 17 1,700.00

EFECTIVO 0.00 2,680.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,000.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.00

Page 1961: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 2,000.00 2,000.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,680.00

TIENDITA DANIELA 4/8/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 695.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 695.00 695.00DEPOSITOS 0.00

Page 1962: cuadre daniela.xlsx

TOTAL ENTREGADO 695.00

TIENDITA DANIELA 4/15/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 970.00 995.00 995.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,960.00 2,960.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,960.00

Page 1963: cuadre daniela.xlsx

TIENDITA DANIELA 4/16/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 3 15.00

10.00 0 0.00

20.00 2 40.00

50.00 0 0.00

100.00 29 2,900.00

EFECTIVO 0.00 2,955.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.00 1,025.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,935.00 1,935.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,890.00

TIENDITA DANIELA 4/17/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1964: cuadre daniela.xlsx

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,025.00 4,585.00 1,815.00 1,645.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 9,070.00 9,070.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,070.00

TIENDITA DANIELA 4/18/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 3 150.00

100.00 0 0.00

EFECTIVO 0.00 180.00

Page 1965: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 1,025.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,020.00 2,020.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,200.00

TIENDITA DANIELA 4/21/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1966: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 3,520.00 1,940.00 1,989.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,449.00 7,449.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,449.00

TIENDITA DANIELA 4/22/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 0.00

Page 1967: cuadre daniela.xlsx

0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00 995.00DEPOSITOS 0.00

TOTAL ENTREGADO 995.00

TIENDITA DANIELA 4/23/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 995.00 0.00 0.00 0.00 0.00 0.00

0.00

Page 1968: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 995.00 995.00DEPOSITOS 0.00

TOTAL ENTREGADO 995.00

TIENDITA DANIELA 4/25/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,815.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.00

Page 1969: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 1,815.00 1,815.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,815.00

TIENDITA DANIELA 4/29/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 2 20.00

20.00 0 0.00

50.00 41 2,050.00

100.00 10 1,000.00

EFECTIVO 0.00 3,075.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,025.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,025.00 1,025.00DEPOSITOS 0.00

Page 1970: cuadre daniela.xlsx

TOTAL ENTREGADO 4,100.00

TIENDITA DANIELA 5/5/2015 billetes cantidad total

1.00 0 0.00

2.00 2 4.00

5.00 0 0.00

10.00 1 10.00

20.00 0 0.00

50.00 10 500.00

100.00 10 1,000.00

EFECTIVO 0.00 1,514.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,500.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,500.00 4,500.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,014.00

Page 1971: cuadre daniela.xlsx

TIENDITA DANIELA 5/6/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 905.00 0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 905.00 905.00DEPOSITOS 0.00

TOTAL ENTREGADO 905.00

TIENDITA DANIELA 5/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1972: cuadre daniela.xlsx

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.00 1,645.00

DANIELA 170.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,725.00 2,725.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,725.00

TIENDITA DANIELA 5/8/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 7 700.00

EFECTIVO 0.00 700.00

Page 1973: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,025.00 1,800.00

DANIELA 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,825.00 2,825.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,525.00

TIENDITA DANIELA 5/9/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.00

Page 1974: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 175.00 12,100.00

0.00 2,490.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 14,765.00 14,765.00DEPOSITOS 0.00

TOTAL ENTREGADO 14,765.00

TIENDITA DANIELA 5/12/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 4 80.00

50.00 33 1,650.00

100.00 30 3,000.00

EFECTIVO 0.00 4,730.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 520.00 0.00

Page 1975: cuadre daniela.xlsx

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 520.00 520.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,250.00

TIENDITA DANIELA 5/13/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 27 2,700.00

EFECTIVO 0.00 2,700.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 910.00 2,430.00

0.00 0.00 0.00 0.00 0.00

0.00

Page 1976: cuadre daniela.xlsx

0.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,340.00 3,340.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,040.00

TIENDITA DANIELA 5/15/2015 billetes cantidad total

1.00 0 0.00

2.00 3 6.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 1 50.00

100.00 0 0.00

EFECTIVO 0.00 56.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,585.00 910.00

0.00 1,110.00 0.00 0.00 0.00

0.000.000.000.000.000.00

Page 1977: cuadre daniela.xlsx

0.000.00

DEBITOS Y/O CREDITO 6,605.00 6,605.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,661.00

TIENDITA DANIELA 5/16/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,800.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,800.00 1,800.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,800.00

Page 1978: cuadre daniela.xlsx

TIENDITA DANIELA 5/21/2015 billetes cantidad total

1.00 0 0.00

2.00 5 10.00

5.00 2 10.00

10.00 0 0.00

20.00 2 40.00

50.00 0 0.00

100.00 3 300.00

EFECTIVO 0.00 360.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,520.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,520.00 3,520.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,880.00

TIENDITA DANIELA 5/22/2015

Page 1979: cuadre daniela.xlsx

billetes cantidad total1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 450.00 1,645.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,095.00 2,095.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,095.00

TIENDITA DANIELA 5/23/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

Page 1980: cuadre daniela.xlsx

20.00 2 40.00

50.00 0 0.00

100.00 15 1,500.00

EFECTIVO 0.00 1,555.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,000.00 910.00

0.00 1,645.00 130.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,685.00 3,685.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,240.00

TIENDITA DANIELA 5/26/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

Page 1981: cuadre daniela.xlsx

EFECTIVO 0.00 10.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 900.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 900.00 900.00DEPOSITOS 0.00

TOTAL ENTREGADO 910.00

TIENDITA DANIELA 5/27/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 2 10.00

10.00 0 0.00

20.00 47 940.00

50.00 112 5,600.00

100.00 0 0.00

EFECTIVO 0.00 6,550.00

CHEQUE 0.00 0.000.000.000.00

Page 1982: cuadre daniela.xlsx

0.000.000.000.00

DEBITO/CREDITO 170.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 170.00 170.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,720.00

TIENDITA DANIELA 5/28/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 3 150.00

100.00 9 900.00

EFECTIVO 0.00 1,050.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 675.00

Page 1983: cuadre daniela.xlsx

1,645.000.00 0.00

0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,320.00 2,320.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,370.00

TIENDITA DANIELA 5/29/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,290.00 0.00

0.00 0.00 0.00 0.00 0.00

Page 1984: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,290.00 3,290.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,290.00

TIENDITA DANIELA 6/2/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 170.00 2,340.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.00

Page 1985: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 2,510.00 2,510.00DEPOSITOS 0.00

TOTAL ENTREGADO 2,510.00

TIENDITA DANIELA 6/3/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 1 10.00

20.00 2 40.00

50.00 33 1,650.00

100.00 47 4,700.00

EFECTIVO 0.00 6,405.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,800.00 1,585.00

0.00 9,575.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 12,960.00 12,960.00DEPOSITOS 0.00

Page 1986: cuadre daniela.xlsx

TOTAL ENTREGADO 19,365.00

TIENDITA DANIELA 6/4/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 1 20.00

50.00 0 0.00

100.00 69 6,900.00

EFECTIVO 0.00 6,960.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 500.00 2,500.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,000.00 3,000.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,960.00

Page 1987: cuadre daniela.xlsx

TIENDITA DANIELA 6/5/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 16 160.00

20.00 6 120.00

50.00 10 500.00

100.00 10 1,000.00

EFECTIVO 0.00 1,780.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 0.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,780.00

TIENDITA DANIELA 6/6/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1988: cuadre daniela.xlsx

10.00 1 10.00

20.00 6 120.00

50.00 10 500.00

100.00 4 400.00

EFECTIVO 0.00 1,030.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 420.00 4,125.00

0.00 120.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,665.00 4,665.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,695.00

TIENDITA DANIELA 6/9/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 0 0.00

50.00 1 50.00

100.00 2 200.00

EFECTIVO 0.00 260.00

Page 1989: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,645.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,645.00 1,645.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,905.00

TIENDITA DANIELA 6/11/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 33 3,300.00

EFECTIVO 0.00 3,300.00

CHEQUE 0.00 0.000.000.000.000.00

Page 1990: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 1,370.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 1,370.00 1,370.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,670.00

TIENDITA DANIELA 6/12/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,350.00 2,040.00

Page 1991: cuadre daniela.xlsx

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 3,390.00 3,390.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,390.00

TIENDITA DANIELA 6/13/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,680.00 0.00

0.00 0.00 0.00 0.00 0.00

Page 1992: cuadre daniela.xlsx

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,680.00 4,680.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,680.00

TIENDITA DANIELA 6/18/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,585.00 4,220.00

0.00 4,220.00 0.00 0.00 0.00

0.000.000.000.000.00

Page 1993: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 13,025.00 13,025.00DEPOSITOS 0.00

TOTAL ENTREGADO 13,025.00

TIENDITA DANIELA /06/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 225.00 7,245.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,470.00 7,470.00DEPOSITOS 0.00

Page 1994: cuadre daniela.xlsx

TOTAL ENTREGADO 7,470.00

TIENDITA DANIELA 6/25/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 3,120.00 2,065.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,185.00 5,185.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,185.00

Page 1995: cuadre daniela.xlsx

TIENDITA DANIELA 6/26/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 8 80.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00 80.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,065.00 1,040.00

0.00 8,000.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 11,105.00 11,105.00DEPOSITOS 0.00

TOTAL ENTREGADO 11,185.00

TIENDITA DANIELA 6/30/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 1996: cuadre daniela.xlsx

10.00 45 450.00

20.00 21 420.00

50.00 0.00

100.00 0 0.00

EFECTIVO 0.00 870.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 4,585.00 4,585.00

0.00 2,595.00 640.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 12,405.00 12,405.00DEPOSITOS 0.00

TOTAL ENTREGADO 13,275.00

TIENDITA DANIELA 7/20/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 45 900.00

50.00 0 0.00

100.00 16 1,600.00

EFECTIVO 0.00 2,500.00

Page 1997: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 9,600.00 3,000.00

0.00 6,760.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 19,360.00 19,360.00DEPOSITOS 0.00

TOTAL ENTREGADO 21,860.00

TIENDITA DANIELA 10/1/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 63 1,260.00

50.00 2 100.00

100.00 0 0.00

EFECTIVO 0.00 1,370.00

CHEQUE 0.00 0.000.000.000.000.000.00

Page 1998: cuadre daniela.xlsx

0.000.00

DEBITO/CREDITO 0.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 0.00 0.00DEPOSITOS 0.00

TOTAL ENTREGADO 1,370.00

TIENDITA DANIELA 10/2/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 4 40.00

20.00 4 80.00

50.00 9 450.00

100.00 6 600.00

EFECTIVO 0.00 1,170.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 630.00 2,250.00

0.00 0.00

Page 1999: cuadre daniela.xlsx

0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,880.00 2,880.00DEPOSITOS 0.00

TOTAL ENTREGADO 4,050.00

TIENDITA DANIELA 10/5/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 3 300.00

EFECTIVO 0.00 300.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,950.00 2,250.00

0.00 630.00 0.00 0.00 0.00

0.000.000.000.00

Page 2000: cuadre daniela.xlsx

0.000.000.000.00

DEBITOS Y/O CREDITO 4,830.00 4,830.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,130.00

CARTUCHO DANIELA 10/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 100 500.00

10.00 0 0.00

20.00 5 100.00

50.00 32 1,600.00

100.00 78 7,800.00

EFECTIVO 10,000.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 300.00 300.00

0.00 300.00 0.00 0.00 0.00

0.000.000.000.000.00

Page 2001: cuadre daniela.xlsx

0.000.000.00

DEBITOS Y/O CREDITO 900.00 900.00DEPOSITOS 0.00

TOTAL ENTREGADO 10,900.00

TALLER DANIELA 10/7/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 3 15.00

10.00 100 1,000.00

20.00 103 2,060.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 3,075.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 315.00 0.00

0.00 0.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 315.00 315.00DEPOSITOS 0.00

Page 2002: cuadre daniela.xlsx

TOTAL ENTREGADO 3,390.00

TALLER DANIELA 10/9/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 1 20.00

50.00 0 0.00

100.00 6 600.00

EFECTIVO 630.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,950.00 2,250.00

0.00 2,625.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,825.00 6,825.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,455.00

Page 2003: cuadre daniela.xlsx

TALLER DANIELA 10/13/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 3 15.00

10.00 0 0.00

20.00 22 440.00

50.00 6 300.00

100.00 0 0.00

EFECTIVO 755.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 1,000.00 1,050.00

0.00 880.00 0.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 2,930.00 2,930.00DEPOSITOS 0.00

TOTAL ENTREGADO 3,685.00

TALLER DANIELA 10/15/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

Page 2004: cuadre daniela.xlsx

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 0.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 2,250.00 630.00

0.00 1,000.00 1,950.00 950.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 6,780.00 6,780.00DEPOSITOS 0.00

TOTAL ENTREGADO 6,780.00

TALLER DANIELA 10/16/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 63 315.00

10.00 0 0.00

20.00 0 0.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 315.00

Page 2005: cuadre daniela.xlsx

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 315.00 1,050.00

0.00 1,950.00 2,250.00 0.00 0.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 5,565.00 5,565.00DEPOSITOS 0.00

TOTAL ENTREGADO 5,880.00

TALLER DANIELA 10/20/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 0 0.00

20.00 0 0.00

50.00 45 2,250.00

100.00 0 0.00

EFECTIVO 2,250.00

CHEQUE 0.00 0.000.000.000.000.00

Page 2006: cuadre daniela.xlsx

0.000.000.00

DEBITO/CREDITO 0.00 0.00

0.00 0.00 0.00 3,075.00 2,250.00

1,950.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 7,275.00 7,275.00DEPOSITOS 0.00

TOTAL ENTREGADO 9,525.00

TALLER DANIELA 10/21/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 0 0.00

10.00 1 10.00

20.00 52 1,040.00

50.00 0 0.00

100.00 0 0.00

EFECTIVO 1,050.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 900.00 2,625.00

Page 2007: cuadre daniela.xlsx

0.00 630.00 900.00 3,075.00 1,950.00

0.000.000.000.000.000.000.000.00

DEBITOS Y/O CREDITO 10,080.00 10,080.00DEPOSITOS 0.00

TOTAL ENTREGADO 11,130.00

TALLER DANIELA 10/27/2015 billetes cantidad total

1.00 0 0.00

2.00 0 0.00

5.00 1 5.00

10.00 0 0.00

20.00 11 220.00

50.00 17 850.00

100.00 20 2,000.00

EFECTIVO 3,075.00

CHEQUE 0.00 0.000.000.000.000.000.000.000.00

DEBITO/CREDITO 315.00 1,950.00

0.00 1,950.00 0.00 0.00 0.00

0.000.00

Page 2008: cuadre daniela.xlsx

0.000.000.000.000.000.00

DEBITOS Y/O CREDITO 4,215.00 4,215.00DEPOSITOS 0.00

TOTAL ENTREGADO 7,290.00

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