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77
+ },
78
+ {
79
+ "text": "Income $296,357.89",
80
+ "bbox": [
81
+ 168,
82
+ 743,
83
+ 1473,
84
+ 791
85
+ ]
86
+ },
87
+ {
88
+ "text": "Personnel Costs $145,501.99",
89
+ "bbox": [
90
+ 168,
91
+ 796,
92
+ 1474,
93
+ 844
94
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95
+ },
96
+ {
97
+ "text": "Facility Expenses $43,513.21",
98
+ "bbox": [
99
+ 169,
100
+ 850,
101
+ 1475,
102
+ 898
103
+ ]
104
+ },
105
+ {
106
+ "text": "Final Reconciled Total $1,525,035.82",
107
+ "bbox": [
108
+ 253,
109
+ 906,
110
+ 1475,
111
+ 953
112
+ ]
113
+ }
114
+ ]
115
+ }
new_type_trial_balance/021/021_dirty_5.json ADDED
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1
+ {
2
+ "document": "new_type_trial_balance_021_dirty_5.png",
3
+ "labels": [
4
+ {
5
+ "text": "Johnson-Patrick",
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+ "bbox": [
7
+ 173,
8
+ 174,
9
+ 516,
10
+ 218
11
+ ]
12
+ }
13
+ ],
14
+ "values": [
15
+ {
16
+ "text": "Liquid Assets $97,019.03",
17
+ "bbox": [
18
+ 173,
19
+ 381,
20
+ 1478,
21
+ 411
22
+ ]
23
+ },
24
+ {
25
+ "text": "Outstanding Invoices $47,046.46",
26
+ "bbox": [
27
+ 173,
28
+ 434,
29
+ 1478,
30
+ 464
31
+ ]
32
+ },
33
+ {
34
+ "text": "Stock on Hand $53,490.09",
35
+ "bbox": [
36
+ 173,
37
+ 488,
38
+ 1478,
39
+ 518
40
+ ]
41
+ },
42
+ {
43
+ "text": "Fixed Assets $377,401.60",
44
+ "bbox": [
45
+ 173,
46
+ 541,
47
+ 1478,
48
+ 571
49
+ ]
50
+ },
51
+ {
52
+ "text": "Unpaid Liabilities $24,983.67",
53
+ "bbox": [
54
+ 173,
55
+ 594,
56
+ 1478,
57
+ 625
58
+ ]
59
+ },
60
+ {
61
+ "text": "Debt Instruments $180,300.83",
62
+ "bbox": [
63
+ 173,
64
+ 648,
65
+ 1478,
66
+ 678
67
+ ]
68
+ },
69
+ {
70
+ "text": "Equity Shares $259,421.05",
71
+ "bbox": [
72
+ 173,
73
+ 701,
74
+ 1478,
75
+ 731
76
+ ]
77
+ },
78
+ {
79
+ "text": "Income $296,357.89",
80
+ "bbox": [
81
+ 173,
82
+ 755,
83
+ 1478,
84
+ 785
85
+ ]
86
+ },
87
+ {
88
+ "text": "Personnel Costs $145,501.99",
89
+ "bbox": [
90
+ 173,
91
+ 808,
92
+ 1478,
93
+ 838
94
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95
+ },
96
+ {
97
+ "text": "Facility Expenses $43,513.21",
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+ "bbox": [
99
+ 173,
100
+ 862,
101
+ 1478,
102
+ 892
103
+ ]
104
+ },
105
+ {
106
+ "text": "Final Reconciled Total $1,525,035.82",
107
+ "bbox": [
108
+ 256,
109
+ 918,
110
+ 1478,
111
+ 948
112
+ ]
113
+ }
114
+ ]
115
+ }
new_type_trial_balance/021/021_pdf.json ADDED
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1
+ {
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+ "document": "new_type_trial_balance_021.pdf",
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+ "labels": [
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+ "text": "Johnson-Patrick",
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+ 64.53996974999995,
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+ 186.09416325,
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+ }
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+ ],
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+ "values": [
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+ {
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+ "text": "Liquid Assets $97,019.03",
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+ "bbox": [
18
+ 62.692913250000004,
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+ 141.90670650000004,
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+ 532.5734077499999,
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+ 152.40670650000004
22
+ ]
23
+ },
24
+ {
25
+ "text": "Outstanding Invoices $47,046.46",
26
+ "bbox": [
27
+ 62.692913250000004,
28
+ 161.13717525000004,
29
+ 532.5734077499999,
30
+ 171.63717525000004
31
+ ]
32
+ },
33
+ {
34
+ "text": "Stock on Hand $53,490.09",
35
+ "bbox": [
36
+ 62.692913250000004,
37
+ 180.36764400000004,
38
+ 532.5734077499999,
39
+ 190.86764400000004
40
+ ]
41
+ },
42
+ {
43
+ "text": "Fixed Assets $377,401.60",
44
+ "bbox": [
45
+ 62.692913250000004,
46
+ 199.59811275000004,
47
+ 532.571808,
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+ 210.09811275000004
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+ ]
50
+ },
51
+ {
52
+ "text": "Unpaid Liabilities $24,983.67",
53
+ "bbox": [
54
+ 62.692913250000004,
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+ 218.82858150000004,
56
+ 532.5734077499999,
57
+ 229.32858150000004
58
+ ]
59
+ },
60
+ {
61
+ "text": "Debt Instruments $180,300.83",
62
+ "bbox": [
63
+ 62.692913250000004,
64
+ 238.05905025000004,
65
+ 532.571808,
66
+ 248.55905025000004
67
+ ]
68
+ },
69
+ {
70
+ "text": "Equity Shares $259,421.05",
71
+ "bbox": [
72
+ 62.692913250000004,
73
+ 257.28951900000004,
74
+ 532.571808,
75
+ 267.78951900000004
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+ ]
77
+ },
78
+ {
79
+ "text": "Income $296,357.89",
80
+ "bbox": [
81
+ 62.692913250000004,
82
+ 276.51998775000004,
83
+ 532.571808,
84
+ 287.01998775000004
85
+ ]
86
+ },
87
+ {
88
+ "text": "Personnel Costs $145,501.99",
89
+ "bbox": [
90
+ 62.692913250000004,
91
+ 295.75045650000004,
92
+ 532.571808,
93
+ 306.25045650000004
94
+ ]
95
+ },
96
+ {
97
+ "text": "Facility Expenses $43,513.21",
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+ "bbox": [
99
+ 62.692913250000004,
100
+ 314.98092525000004,
101
+ 532.5734077499999,
102
+ 325.48092525000004
103
+ ]
104
+ },
105
+ {
106
+ "text": "Final Reconciled Total $1,525,035.82",
107
+ "bbox": [
108
+ 92.69291325,
109
+ 334.96139400000004,
110
+ 532.5719722499999,
111
+ 345.46139400000004
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+ ]
113
+ }
114
+ ]
115
+ }
new_type_trial_balance/069/069.json ADDED
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1
+ {
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+ "img_file": "new_type_trial_balance_069.png",
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+ "img_width": 1654,
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+ "img_height": 2339,
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+ "labels": [
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+ {
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+ "text": "Ferrell LLC",
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+ "bbox_px": [
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+ 197.12,
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+ 163.84,
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+ 429.06,
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+ }
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+ ],
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+ "values": [
17
+ {
18
+ "text": "Cash and Short-Term Investments $142,889.28",
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+ "bbox_px": [
20
+ 192.29,
21
+ 378.69,
22
+ 1497.84,
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+ 439.28
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+ ]
25
+ },
26
+ {
27
+ "text": "Trade Receivables $68,711.69",
28
+ "bbox_px": [
29
+ 191.01,
30
+ 432.09,
31
+ 1496.59,
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+ {
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+ "text": "Merchandise Inventory $98,766.97",
37
+ "bbox_px": [
38
+ 189.72,
39
+ 485.49,
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+ 1495.27,
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+ 546.08
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+ },
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+ {
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+ "text": "Fixed Assets $453,812.79",
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+ "bbox_px": [
47
+ 188.43,
48
+ 538.9,
49
+ 1493.98,
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+ 599.49
51
+ ]
52
+ },
53
+ {
54
+ "text": "Trade Payables $52,909.30",
55
+ "bbox_px": [
56
+ 187.15,
57
+ 592.3,
58
+ 1492.7,
59
+ 652.89
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+ ]
61
+ },
62
+ {
63
+ "text": "Short-Term Borrowings $169,628.22",
64
+ "bbox_px": [
65
+ 185.86,
66
+ 645.7,
67
+ 1491.4,
68
+ 706.29
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+ ]
70
+ },
71
+ {
72
+ "text": "Ordinary Shares $222,187.89",
73
+ "bbox_px": [
74
+ 184.57,
75
+ 699.1,
76
+ 1490.12,
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+ 759.69
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+ ]
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+ },
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+ {
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+ "text": "Sales Revenue $590,172.18",
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+ "bbox_px": [
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+ 183.29,
84
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+ ]
88
+ },
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+ {
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+ "text": "Compensation Expense $103,997.49",
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+ "bbox_px": [
92
+ 182.0,
93
+ 805.91,
94
+ 1487.54,
95
+ 866.5
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+ ]
97
+ },
98
+ {
99
+ "text": "Lease and Operating Expenses $38,974.72",
100
+ "bbox_px": [
101
+ 180.72,
102
+ 859.31,
103
+ 1486.26,
104
+ 919.9
105
+ ]
106
+ },
107
+ {
108
+ "text": "Closing Balance $1,942,050.53",
109
+ "bbox_px": [
110
+ 262.69,
111
+ 916.8,
112
+ 1484.92,
113
+ 975.39
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+ ]
115
+ }
116
+ ]
117
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new_type_trial_balance/069/069.xlsx ADDED
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+ {
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+ "document": "new_type_trial_balance_069_dirty_1.png",
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+ "labels": [
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+ "text": "Ferrell LLC",
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+ "values": [
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+ "text": "Cash and Short-Term Investments $142,889.28",
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+ "bbox": [
18
+ 163,
19
+ 384,
20
+ 1468,
21
+ 432
22
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23
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24
+ {
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+ "text": "Trade Receivables $68,711.69",
26
+ "bbox": [
27
+ 163,
28
+ 437,
29
+ 1469,
30
+ 485
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32
+ },
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+ {
34
+ "text": "Merchandise Inventory $98,766.97",
35
+ "bbox": [
36
+ 164,
37
+ 491,
38
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39
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41
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42
+ {
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+ "text": "Fixed Assets $453,812.79",
44
+ "bbox": [
45
+ 165,
46
+ 544,
47
+ 1470,
48
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50
+ },
51
+ {
52
+ "text": "Trade Payables $52,909.30",
53
+ "bbox": [
54
+ 166,
55
+ 597,
56
+ 1471,
57
+ 646
58
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59
+ },
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+ {
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+ "text": "Short-Term Borrowings $169,628.22",
62
+ "bbox": [
63
+ 166,
64
+ 651,
65
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66
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67
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68
+ },
69
+ {
70
+ "text": "Ordinary Shares $222,187.89",
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+ "bbox": [
72
+ 167,
73
+ 704,
74
+ 1472,
75
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76
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77
+ },
78
+ {
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+ "text": "Sales Revenue $590,172.18",
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+ "bbox": [
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+ 168,
82
+ 758,
83
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84
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85
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86
+ },
87
+ {
88
+ "text": "Compensation Expense $103,997.49",
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+ "bbox": [
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+ 169,
91
+ 811,
92
+ 1474,
93
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94
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95
+ },
96
+ {
97
+ "text": "Lease and Operating Expenses $38,974.72",
98
+ "bbox": [
99
+ 169,
100
+ 865,
101
+ 1475,
102
+ 913
103
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104
+ },
105
+ {
106
+ "text": "Closing Balance $1,942,050.53",
107
+ "bbox": [
108
+ 253,
109
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110
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111
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112
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113
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114
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115
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+ "values": [
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+ "text": "Cash and Short-Term Investments $142,889.28",
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+ "bbox": [
18
+ 183,
19
+ 385,
20
+ 1489,
21
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23
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24
+ {
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+ "text": "Trade Receivables $68,711.69",
26
+ "bbox": [
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+ 183,
28
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29
+ 1488,
30
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32
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+ {
34
+ "text": "Merchandise Inventory $98,766.97",
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+ "bbox": [
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+ 182,
37
+ 492,
38
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39
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42
+ {
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+ "text": "Fixed Assets $453,812.79",
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+ "bbox": [
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46
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47
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48
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50
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+ {
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+ "bbox": [
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+ 180,
55
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+ "text": "Short-Term Borrowings $169,628.22",
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+ "bbox": [
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64
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+ },
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+ {
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+ "text": "Ordinary Shares $222,187.89",
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+ "bbox": [
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+ 179,
73
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74
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75
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77
+ },
78
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+ "text": "Sales Revenue $590,172.18",
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+ "bbox": [
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82
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83
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84
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85
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86
+ },
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+ {
88
+ "text": "Compensation Expense $103,997.49",
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+ "bbox": [
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91
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92
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93
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+ },
96
+ {
97
+ "text": "Lease and Operating Expenses $38,974.72",
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+ "bbox": [
99
+ 177,
100
+ 866,
101
+ 1482,
102
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103
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104
+ },
105
+ {
106
+ "text": "Closing Balance $1,942,050.53",
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+ "bbox": [
108
+ 259,
109
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110
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111
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112
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113
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114
+ ]
115
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+ "text": "Cash and Short-Term Investments $142,889.28",
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+ "bbox": [
18
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19
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20
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21
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+ {
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+ "text": "Trade Receivables $68,711.69",
26
+ "bbox": [
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+ 183,
28
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29
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30
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31
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+ {
34
+ "text": "Merchandise Inventory $98,766.97",
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+ "bbox": [
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37
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38
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39
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+ "text": "Fixed Assets $453,812.79",
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+ "bbox": [
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47
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49
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+ {
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+ "text": "Trade Payables $52,909.30",
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+ "bbox": [
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55
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56
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57
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+ },
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+ "text": "Short-Term Borrowings $169,628.22",
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+ "bbox": [
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68
+ },
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+ {
70
+ "text": "Ordinary Shares $222,187.89",
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+ "bbox": [
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+ 179,
73
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74
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75
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+ "text": "Sales Revenue $590,172.18",
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+ "bbox": [
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82
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+ },
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+ {
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+ "text": "Compensation Expense $103,997.49",
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+ "bbox": [
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104
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1
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+ "text": "Hogan-Sutton",
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+ "values": [
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+ "bbox_px": [
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+ "bbox_px": [
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+ "text": "Adjusted Final Balance $1,867,396.23",
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+ "text": "Cash and Short-Term Investments $95,206.10",
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+ "bbox": [
18
+ 172,
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+ 392,
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+ 1477,
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+ {
25
+ "text": "Trade Receivables $39,662.14",
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+ "bbox": [
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+ 172,
28
+ 445,
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+ "text": "Fixed Assets $437,940.68",
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+ "bbox": [
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+ 172,
46
+ 552,
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50
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+ {
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+ "text": "Trade Payables $39,046.96",
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+ "bbox": [
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+ 172,
55
+ 605,
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+ },
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+ {
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+ "text": "Borrowings $221,635.90",
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+ "bbox": [
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+ 172,
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+ 659,
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+ 1477,
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+ 691
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+ },
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+ {
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+ "text": "Ordinary Shares $240,185.58",
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+ "bbox": [
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+ 173,
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+ 712,
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+ {
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+ "text": "Sales Revenue $493,042.57",
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+ "bbox": [
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+ 173,
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+ 766,
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+ 1478,
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86
+ },
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+ {
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+ "text": "Compensation Expense $159,305.50",
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+ "bbox": [
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+ {
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+ "text": "Lease and Services Expense $47,528.93",
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+ "bbox": [
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+ 173,
100
+ 873,
101
+ 1478,
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+ 905
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+ ]
104
+ },
105
+ {
106
+ "text": "Adjusted Final Balance $1,867,396.23",
107
+ "bbox": [
108
+ 256,
109
+ 928,
110
+ 1478,
111
+ 960
112
+ ]
113
+ }
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+ ]
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+ {
16
+ "text": "Cash and Short-Term Investments $95,206.10",
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+ "bbox": [
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+ 180,
19
+ 388,
20
+ 1485,
21
+ 428
22
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23
+ },
24
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25
+ "text": "Trade Receivables $39,662.14",
26
+ "bbox": [
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+ 179,
28
+ 441,
29
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30
+ 481
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32
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34
+ "text": "Stock of Goods $93,841.87",
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+ "bbox": [
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+ 179,
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+ "text": "Fixed Assets $437,940.68",
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+ "bbox": [
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+ 178,
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50
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+ {
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+ "text": "Trade Payables $39,046.96",
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+ "bbox": [
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+ 178,
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+ "text": "Borrowings $221,635.90",
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+ "bbox": [
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+ {
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+ "text": "Ordinary Shares $240,185.58",
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+ "bbox": [
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+ 177,
73
+ 708,
74
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75
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77
+ },
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+ {
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+ "text": "Sales Revenue $493,042.57",
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+ "bbox": [
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+ 177,
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84
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86
+ },
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+ {
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+ "text": "Compensation Expense $159,305.50",
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+ "bbox": [
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+ "text": "Lease and Services Expense $47,528.93",
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+ "bbox": [
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+ 176,
100
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101
+ 1481,
102
+ 909
103
+ ]
104
+ },
105
+ {
106
+ "text": "Adjusted Final Balance $1,867,396.23",
107
+ "bbox": [
108
+ 258,
109
+ 925,
110
+ 1480,
111
+ 964
112
+ ]
113
+ }
114
+ ]
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+ }
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+ "values": [
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16
+ "text": "Cash and Short-Term Investments $95,206.10",
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+ "bbox": [
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+ 170,
19
+ 390,
20
+ 1475,
21
+ 426
22
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23
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24
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25
+ "text": "Trade Receivables $39,662.14",
26
+ "bbox": [
27
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28
+ 443,
29
+ 1475,
30
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+ ]
32
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+ {
34
+ "text": "Stock of Goods $93,841.87",
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+ "bbox": [
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+ 170,
37
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38
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40
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41
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+ {
43
+ "text": "Fixed Assets $437,940.68",
44
+ "bbox": [
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+ 171,
46
+ 550,
47
+ 1476,
48
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50
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52
+ "text": "Trade Payables $39,046.96",
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+ "bbox": [
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+ 171,
55
+ 603,
56
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59
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+ "text": "Borrowings $221,635.90",
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+ "bbox": [
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64
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65
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68
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+ {
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+ "text": "Ordinary Shares $240,185.58",
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+ "bbox": [
72
+ 171,
73
+ 710,
74
+ 1476,
75
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76
+ ]
77
+ },
78
+ {
79
+ "text": "Sales Revenue $493,042.57",
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+ "bbox": [
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+ 172,
82
+ 764,
83
+ 1477,
84
+ 800
85
+ ]
86
+ },
87
+ {
88
+ "text": "Compensation Expense $159,305.50",
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+ "bbox": [
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+ 172,
91
+ 817,
92
+ 1477,
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95
+ },
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+ {
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+ "text": "Lease and Services Expense $47,528.93",
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+ "bbox": [
99
+ 172,
100
+ 871,
101
+ 1477,
102
+ 907
103
+ ]
104
+ },
105
+ {
106
+ "text": "Adjusted Final Balance $1,867,396.23",
107
+ "bbox": [
108
+ 255,
109
+ 926,
110
+ 1477,
111
+ 961
112
+ ]
113
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114
+ ]
115
+ }
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+ "labels": [
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+ "text": "Hogan-Sutton",
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+ "bbox": [
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+ 222
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12
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+ ],
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+ "values": [
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+ {
16
+ "text": "Cash and Short-Term Investments $95,206.10",
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+ "bbox": [
18
+ 175,
19
+ 392,
20
+ 1480,
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+ "text": "Trade Receivables $39,662.14",
26
+ "bbox": [
27
+ 175,
28
+ 445,
29
+ 1480,
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+ {
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+ "text": "Fixed Assets $437,940.68",
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+ "bbox": [
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+ "text": "Trade Payables $39,046.96",
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+ "bbox": [
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+ 174,
55
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+ {
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+ "text": "Borrowings $221,635.90",
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+ "bbox": [
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+ 174,
64
+ 659,
65
+ 1479,
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+ 691
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68
+ },
69
+ {
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+ "text": "Ordinary Shares $240,185.58",
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+ "bbox": [
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+ 174,
73
+ 712,
74
+ 1479,
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77
+ },
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+ {
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+ "text": "Sales Revenue $493,042.57",
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+ "bbox": [
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+ 174,
82
+ 766,
83
+ 1479,
84
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86
+ },
87
+ {
88
+ "text": "Compensation Expense $159,305.50",
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+ "bbox": [
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+ 174,
91
+ 819,
92
+ 1479,
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95
+ },
96
+ {
97
+ "text": "Lease and Services Expense $47,528.93",
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+ "bbox": [
99
+ 174,
100
+ 873,
101
+ 1479,
102
+ 905
103
+ ]
104
+ },
105
+ {
106
+ "text": "Adjusted Final Balance $1,867,396.23",
107
+ "bbox": [
108
+ 257,
109
+ 929,
110
+ 1479,
111
+ 960
112
+ ]
113
+ }
114
+ ]
115
+ }
new_type_trial_balance/1097/1097_pdf.json ADDED
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1
+ {
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+ "document": "new_type_trial_balance_1097.pdf",
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+ "labels": [
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+ {
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+ "text": "Hogan-Sutton",
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+ "bbox": [
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+ 62.692913250000004,
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+ 166.80041325000002,
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+ ],
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+ "values": [
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+ "text": "Cash and Short-Term Investments $95,206.10",
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+ "bbox": [
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+ 62.692913250000004,
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+ 141.90670650000004,
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+ 532.5734077499999,
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+ {
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+ "text": "Trade Receivables $39,662.14",
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+ "bbox": [
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+ 62.692913250000004,
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+ 161.13717525000004,
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+ "text": "Stock of Goods $93,841.87",
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+ "bbox": [
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+ },
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+ {
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+ "text": "Fixed Assets $437,940.68",
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+ "bbox": [
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+ 62.692913250000004,
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+ 199.59811275000004,
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+ 532.571808,
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+ ]
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+ },
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+ {
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+ "text": "Trade Payables $39,046.96",
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+ "bbox": [
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+ 62.692913250000004,
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+ 218.82858150000004,
56
+ 532.5734077499999,
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+ 229.32858150000004
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+ ]
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+ },
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+ {
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+ "text": "Borrowings $221,635.90",
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+ "bbox": [
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+ 62.692913250000004,
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+ 238.05905025000004,
65
+ 532.571808,
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+ 248.55905025000004
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+ ]
68
+ },
69
+ {
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+ "text": "Ordinary Shares $240,185.58",
71
+ "bbox": [
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+ 62.692913250000004,
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+ 257.28951900000004,
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+ 532.571808,
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+ ]
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+ },
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+ {
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+ "text": "Sales Revenue $493,042.57",
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+ "bbox": [
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+ 62.692913250000004,
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+ 276.51998775000004,
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+ 532.571808,
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+ ]
86
+ },
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+ {
88
+ "text": "Compensation Expense $159,305.50",
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+ "bbox": [
90
+ 62.692913250000004,
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+ 295.75045650000004,
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+ 532.571808,
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+ 306.25045650000004
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+ ]
95
+ },
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+ {
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+ "text": "Lease and Services Expense $47,528.93",
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+ "bbox": [
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+ 62.692913250000004,
100
+ 314.98092525000004,
101
+ 532.5734077499999,
102
+ 325.48092525000004
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+ ]
104
+ },
105
+ {
106
+ "text": "Adjusted Final Balance $1,867,396.23",
107
+ "bbox": [
108
+ 92.69291325,
109
+ 334.96139400000004,
110
+ 532.5719722499999,
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+ 345.46139400000004
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+ ]
113
+ }
114
+ ]
115
+ }
new_type_trial_balance/1101/1101.json ADDED
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1
+ {
2
+ "img_file": "new_type_trial_balance_1101.png",
3
+ "img_width": 1654,
4
+ "img_height": 2339,
5
+ "labels": [
6
+ {
7
+ "text": "Guzman-Webb",
8
+ "bbox_px": [
9
+ 193.04,
10
+ 166.52,
11
+ 499.31,
12
+ 216.32
13
+ ]
14
+ }
15
+ ],
16
+ "values": [
17
+ {
18
+ "text": "Cash and Liquid Assets $58,270.35",
19
+ "bbox_px": [
20
+ 189.07,
21
+ 381.39,
22
+ 1494.61,
23
+ 436.44
24
+ ]
25
+ },
26
+ {
27
+ "text": "Outstanding Receivables $36,093.25",
28
+ "bbox_px": [
29
+ 188.01,
30
+ 434.8,
31
+ 1493.55,
32
+ 489.85
33
+ ]
34
+ },
35
+ {
36
+ "text": "Stock on Hand $115,421.03",
37
+ "bbox_px": [
38
+ 186.95,
39
+ 488.2,
40
+ 1492.52,
41
+ 543.25
42
+ ]
43
+ },
44
+ {
45
+ "text": "Fixed Assets $258,457.71",
46
+ "bbox_px": [
47
+ 185.89,
48
+ 541.61,
49
+ 1491.43,
50
+ 596.66
51
+ ]
52
+ },
53
+ {
54
+ "text": "Vendor Liabilities $50,257.12",
55
+ "bbox_px": [
56
+ 184.83,
57
+ 595.02,
58
+ 1490.37,
59
+ 650.07
60
+ ]
61
+ },
62
+ {
63
+ "text": "Debt Obligations $127,876.99",
64
+ "bbox_px": [
65
+ 183.77,
66
+ 648.43,
67
+ 1489.31,
68
+ 703.48
69
+ ]
70
+ },
71
+ {
72
+ "text": "Equity Shares $233,880.10",
73
+ "bbox_px": [
74
+ 182.71,
75
+ 701.83,
76
+ 1488.25,
77
+ 756.88
78
+ ]
79
+ },
80
+ {
81
+ "text": "Income $396,915.20",
82
+ "bbox_px": [
83
+ 181.65,
84
+ 755.24,
85
+ 1487.19,
86
+ 810.29
87
+ ]
88
+ },
89
+ {
90
+ "text": "Compensation Costs $111,557.16",
91
+ "bbox_px": [
92
+ 180.59,
93
+ 808.65,
94
+ 1486.17,
95
+ 863.7
96
+ ]
97
+ },
98
+ {
99
+ "text": "Lease and Utility Expenses $44,244.44",
100
+ "bbox_px": [
101
+ 179.53,
102
+ 862.05,
103
+ 1485.08,
104
+ 917.11
105
+ ]
106
+ },
107
+ {
108
+ "text": "Final Adjusted Total $1,432,973.35",
109
+ "bbox_px": [
110
+ 261.75,
111
+ 919.2,
112
+ 1483.97,
113
+ 972.6
114
+ ]
115
+ }
116
+ ]
117
+ }
new_type_trial_balance/1101/1101.pdf ADDED
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new_type_trial_balance/1101/1101.xlsx ADDED
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