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Dubai

Town Square file
Sunday 4 October 2026
Asia/Dubai

Town Square

Profit and loss by month · 1 January–4 October 2026 · Amounts in AED · Accrual basis, prepared Sunday 4 October 2026, 8:08 PM Dubai time.

Jan 2026Feb 2026Mar 2026Apr 2026May 2026Jun 2026Jul 2026Aug 2026Sep 2026TotalYear to dateOct 1–4 2026PartialOct 2026Estimate
Income
Services84,980.2866,565.6948,354.8370,391.8180,562.6388,914.9376,349.6069,656.2490,326.14683,057.636,955.4853,904.97
Total for Income84,980.2866,565.6948,354.8370,391.8180,562.6388,914.9376,349.6069,656.2490,326.14683,057.636,955.4853,904.97
Cost of Goods Sold
Cost of sales3,461.165,327.922,367.742,366.363,447.942,743.914,485.512,210.591,777.5028,198.6310.002,247.45
Total for Cost of Goods Sold3,461.165,327.922,367.742,366.363,447.942,743.914,485.512,210.591,777.5028,198.6310.002,247.45
Gross Profit81,519.1261,237.7745,987.0968,025.4577,114.6986,171.0271,864.0967,445.6588,548.64654,859.006,945.4851,657.52
Expenses
Employee Costs
Annual Leave Salary1,625.001,625.000.00
Employee Visa Expenses2,384.141,961.712,171.902,101.842,171.902,101.842,883.062,195.602,124.7720,096.762,401.14
Gratuity - EOSB Expense1,016.63918.251,016.63983.841,016.63983.841,131.701,254.441,213.979,535.931,200.04
Outsources Services Charges370.00370.000.00
Staff Bonus Expenses5,575.003,575.003,193.003,367.004,703.006,276.005,368.003,720.003,649.0039,426.004,245.67
Staff Medical Insurance540.19540.190.00
Staff Salary & Allowances Expense28,000.0026,350.0028,000.0028,000.0025,200.0053,700.0031,622.1033,500.0033,500.00287,872.1032,874.03
Tips to Staff90.0026.00507.00147.00184.00774.50402.50293.75394.002,818.75224.74
Total for Employee Costs37,065.7732,830.9634,888.5334,599.6833,815.7264,206.1841,407.3640,963.7942,506.74362,284.730.0040,945.62
General and Administrative Expenses
Accounting Services Charges1,300.001,300.001,300.001,300.001,625.001,625.001,625.001,625.001,625.0013,325.001,625.00
Bank charges344.58162.57102.57132.57367.57369.52110.57113.26241.911,947.122.00155.25
Dues and Subscriptions204.57178.71178.71178.71178.71178.71178.71513.8225.861,816.51239.46
Legal and professional fees600.00600.000.00
License Fees1,451.441,310.981,451.441,404.621,451.441,404.621,451.441,451.441,404.6212,782.041,435.83
Office expenses2,076.38659.9932.862,769.230.00
Pantry Expenses190.41177.47100.0074.71145.14151.88167.36205.20408.751,620.92260.44
POS Merchant Charges1,434.791,798.292,322.411,538.231,959.291,975.142,217.341,568.591,928.6317,451.50708.791,334.88
Rent & Service Charges of Shop10,084.049,108.1710,084.049,758.7510,084.049,758.7510,084.0410,084.049,758.7588,804.629,975.61
Stationery and printing20.0024.5257.10218.5621.18341.360.00
Travel expenses - general and admin expenses40.001,500.0055.00527.062,122.060.00
Total for General and Administrative Expenses17,086.2114,716.1816,203.6915,887.5915,868.2915,682.1815,943.5015,561.3515,920.58143,580.36710.7915,026.47
Non- Cash Expense
Depreciation Expense - Property, Plant & Equipment4,712.344,712.344,712.344,712.344,712.344,712.344,712.344,712.344,712.3442,411.064,712.34
Depreciation Expense - VAN2,399.962,399.962,399.962,399.962,399.962,399.962,399.962,399.962,399.9621,599.642,399.96
Total for Non- Cash Expense7,112.307,112.307,112.307,112.307,112.307,112.307,112.307,112.307,112.3064,010.700.007,112.30
Other selling expenses
Renovation and Misc Services Expenses650.00220.0038.1030.2866.67425.001,430.05425.00
Shop Cleaning Charges818.00240.00240.00240.00240.00240.00240.00247.62300.002,865.6260.00262.54
Total for Other selling expenses1,468.00460.00278.10270.28306.67240.00665.00247.62300.004,295.6760.00687.54
Sales, Distribution, and Marketing
Digital Marketing & Promotion1,469.201,469.202,854.20390.806,183.400.00
Taxi Fare - Home Services4,672.80301.00749.50134.50191.50399.06176.08336.50365.007,325.94292.53
Toll Gate Charges - Salik200.0052.00200.00120.00572.000.00
VAN Cleaning Charges114.2857.1457.1457.1471.4357.1457.14471.4157.14
VAN Fuel Expense628.24685.55596.521,728.081,475.712,220.291,688.581,797.152,089.0612,909.181,858.26
VAN Maintenance6,764.76100.003,957.1480.003,748.80290.004,540.0019,480.702,859.60
VAN Parking Charges300.00359.00360.00414.00417.00470.50404.00443.00417.003,584.50421.33
VAN Registration/ Insurance / Testing / Tracker1,755.00360.002,115.000.00
Total for Sales, Distribution, and Marketing13,949.281,545.551,763.162,433.727,619.696,095.487,972.463,283.797,979.0052,642.130.005,488.86
Utilities
Chiller Water Bill Ista588.31520.68538.95559.07595.64752.87858.90860.73944.846,219.99888.16
DEWA Bill435.69235.39202.62213.93235.97259.17264.97265.712,113.45265.34
Telephone Expenses2,604.551,033.03997.00947.07898.001,801.71643.00547.169,471.52595.08
Total for Utilities3,628.551,789.101,738.571,720.071,729.612,813.751,123.871,769.441,492.0017,804.960.001,748.58
Total for Expenses80,310.1158,454.0961,984.3562,023.6466,452.2896,149.8974,224.4968,938.2975,310.62644,618.55770.7971,009.37
Net Earnings1,209.012,783.68−15,997.266,001.8110,662.41−9,978.87−2,360.40−1,492.6413,238.0210,240.456,174.69−19,351.85

The column marked Estimate is a full month of October, not an actual result. Income is the 1–4 October figure carried across all 31 days (× 31 ÷ 4). Cost of sales, POS merchant charges, and tips are scaled with that income against average monthly income for January–September, and are not set below what October already shows. Costs that appear in at least 6 of the 9 closed months are the average of July, August, and September (a blank month is skipped, not treated as zero); if October is already higher, that figure is kept. Costs that appear in fewer than 6 closed months are estimated at zero. Gross profit, totals, and net earnings are rebuilt from these lines. Closed months are unchanged. October 1–4 stays as reported, marked Partial. Total is the file’s year-to-date figure, including that partial October and not the estimate. Blank cells are months with no amount in the file; they are not zero. A 0.00 outside the Estimate column is a zero in the file. A 0.00 in the Estimate column is an estimated zero.

JLT

No report yet There is no JLT profit and loss file. Nothing is shown for JLT, and no figures are filled in.

Total

Same Town Square profit and loss · 1 January–4 October 2026 · Amounts in AED.

Jan 2026Feb 2026Mar 2026Apr 2026May 2026Jun 2026Jul 2026Aug 2026Sep 2026TotalYear to dateOct 1–4 2026PartialOct 2026Estimate
Income
Services84,980.2866,565.6948,354.8370,391.8180,562.6388,914.9376,349.6069,656.2490,326.14683,057.636,955.4853,904.97
Total for Income84,980.2866,565.6948,354.8370,391.8180,562.6388,914.9376,349.6069,656.2490,326.14683,057.636,955.4853,904.97
Cost of Goods Sold
Cost of sales3,461.165,327.922,367.742,366.363,447.942,743.914,485.512,210.591,777.5028,198.6310.002,247.45
Total for Cost of Goods Sold3,461.165,327.922,367.742,366.363,447.942,743.914,485.512,210.591,777.5028,198.6310.002,247.45
Gross Profit81,519.1261,237.7745,987.0968,025.4577,114.6986,171.0271,864.0967,445.6588,548.64654,859.006,945.4851,657.52
Expenses
Employee Costs
Annual Leave Salary1,625.001,625.000.00
Employee Visa Expenses2,384.141,961.712,171.902,101.842,171.902,101.842,883.062,195.602,124.7720,096.762,401.14
Gratuity - EOSB Expense1,016.63918.251,016.63983.841,016.63983.841,131.701,254.441,213.979,535.931,200.04
Outsources Services Charges370.00370.000.00
Staff Bonus Expenses5,575.003,575.003,193.003,367.004,703.006,276.005,368.003,720.003,649.0039,426.004,245.67
Staff Medical Insurance540.19540.190.00
Staff Salary & Allowances Expense28,000.0026,350.0028,000.0028,000.0025,200.0053,700.0031,622.1033,500.0033,500.00287,872.1032,874.03
Tips to Staff90.0026.00507.00147.00184.00774.50402.50293.75394.002,818.75224.74
Total for Employee Costs37,065.7732,830.9634,888.5334,599.6833,815.7264,206.1841,407.3640,963.7942,506.74362,284.730.0040,945.62
General and Administrative Expenses
Accounting Services Charges1,300.001,300.001,300.001,300.001,625.001,625.001,625.001,625.001,625.0013,325.001,625.00
Bank charges344.58162.57102.57132.57367.57369.52110.57113.26241.911,947.122.00155.25
Dues and Subscriptions204.57178.71178.71178.71178.71178.71178.71513.8225.861,816.51239.46
Legal and professional fees600.00600.000.00
License Fees1,451.441,310.981,451.441,404.621,451.441,404.621,451.441,451.441,404.6212,782.041,435.83
Office expenses2,076.38659.9932.862,769.230.00
Pantry Expenses190.41177.47100.0074.71145.14151.88167.36205.20408.751,620.92260.44
POS Merchant Charges1,434.791,798.292,322.411,538.231,959.291,975.142,217.341,568.591,928.6317,451.50708.791,334.88
Rent & Service Charges of Shop10,084.049,108.1710,084.049,758.7510,084.049,758.7510,084.0410,084.049,758.7588,804.629,975.61
Stationery and printing20.0024.5257.10218.5621.18341.360.00
Travel expenses - general and admin expenses40.001,500.0055.00527.062,122.060.00
Total for General and Administrative Expenses17,086.2114,716.1816,203.6915,887.5915,868.2915,682.1815,943.5015,561.3515,920.58143,580.36710.7915,026.47
Non- Cash Expense
Depreciation Expense - Property, Plant & Equipment4,712.344,712.344,712.344,712.344,712.344,712.344,712.344,712.344,712.3442,411.064,712.34
Depreciation Expense - VAN2,399.962,399.962,399.962,399.962,399.962,399.962,399.962,399.962,399.9621,599.642,399.96
Total for Non- Cash Expense7,112.307,112.307,112.307,112.307,112.307,112.307,112.307,112.307,112.3064,010.700.007,112.30
Other selling expenses
Renovation and Misc Services Expenses650.00220.0038.1030.2866.67425.001,430.05425.00
Shop Cleaning Charges818.00240.00240.00240.00240.00240.00240.00247.62300.002,865.6260.00262.54
Total for Other selling expenses1,468.00460.00278.10270.28306.67240.00665.00247.62300.004,295.6760.00687.54
Sales, Distribution, and Marketing
Digital Marketing & Promotion1,469.201,469.202,854.20390.806,183.400.00
Taxi Fare - Home Services4,672.80301.00749.50134.50191.50399.06176.08336.50365.007,325.94292.53
Toll Gate Charges - Salik200.0052.00200.00120.00572.000.00
VAN Cleaning Charges114.2857.1457.1457.1471.4357.1457.14471.4157.14
VAN Fuel Expense628.24685.55596.521,728.081,475.712,220.291,688.581,797.152,089.0612,909.181,858.26
VAN Maintenance6,764.76100.003,957.1480.003,748.80290.004,540.0019,480.702,859.60
VAN Parking Charges300.00359.00360.00414.00417.00470.50404.00443.00417.003,584.50421.33
VAN Registration/ Insurance / Testing / Tracker1,755.00360.002,115.000.00
Total for Sales, Distribution, and Marketing13,949.281,545.551,763.162,433.727,619.696,095.487,972.463,283.797,979.0052,642.130.005,488.86
Utilities
Chiller Water Bill Ista588.31520.68538.95559.07595.64752.87858.90860.73944.846,219.99888.16
DEWA Bill435.69235.39202.62213.93235.97259.17264.97265.712,113.45265.34
Telephone Expenses2,604.551,033.03997.00947.07898.001,801.71643.00547.169,471.52595.08
Total for Utilities3,628.551,789.101,738.571,720.071,729.612,813.751,123.871,769.441,492.0017,804.960.001,748.58
Total for Expenses80,310.1158,454.0961,984.3562,023.6466,452.2896,149.8974,224.4968,938.2975,310.62644,618.55770.7971,009.37
Net Earnings1,209.012,783.68−15,997.266,001.8110,662.41−9,978.87−2,360.40−1,492.6413,238.0210,240.456,174.69−19,351.85

The column marked Estimate is a full month of October, not an actual result. Income is the 1–4 October figure carried across all 31 days (× 31 ÷ 4). Cost of sales, POS merchant charges, and tips are scaled with that income against average monthly income for January–September, and are not set below what October already shows. Costs that appear in at least 6 of the 9 closed months are the average of July, August, and September (a blank month is skipped, not treated as zero); if October is already higher, that figure is kept. Costs that appear in fewer than 6 closed months are estimated at zero. Gross profit, totals, and net earnings are rebuilt from these lines. Closed months are unchanged. October 1–4 stays as reported, marked Partial. Total is the file’s year-to-date figure, including that partial October and not the estimate. Blank cells are months with no amount in the file; they are not zero. A 0.00 outside the Estimate column is a zero in the file. A 0.00 in the Estimate column is an estimated zero.